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Daily NAV's
NAV as on 5/21/2013 (view all NAV)
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Assure Fund
20.0185
ULIF01008/07/05BSLIASSURE109
Income Advantage Fund
17.4323
ULIF01507/08/08BSLIINCADV109
Protector Fund
27.2877
ULIF00313/03/01BSLPROTECT109
Builder Fund
33.6649
ULIF00113/03/01BSLBUILDER109
Balancer Fund
21.5401
ULIF00931/05/05BSLBALANCE109
Enhancer Fund
39.8425
ULIF00213/03/01BSLENHANCE109
Creator Fund
30.2914
ULIF00704/02/04BSLCREATOR109
Magnifier Fund
29.7797
ULIF00826/06/04BSLIIMAGNI109
Maximiser Fund
14.9168
ULIF01101/06/07BSLIINMAXI109
Multiplier Fund
12.3908
ULIF01217/10/07BSLINMULTI109
Super 20 Fund
15.2276
ULIF01723/06/09BSLSUPER20109
Platinum Plus Fund - 1
12.6805
ULIF01325/02/08BSLIIPLAT1109
Platinum Plus Fund - 2
18.0263
ULIF01425/02/08BSLIIPLAT2109
Platinum Plus Fund - 3
13.881
ULIF01628/04/09BSLIIPLAT3109
Platinum Plus Fund - 4
12.3451
ULIF01816/09/09BSLIIPLAT4109
Platinum Premier Fund
12.2396
ULIF02203/02/10BSLPLATPR1109
Platinum Advantage Fund
10.4942
ULIF02408/09/10BSLPLATADV109
Pension Nourish Fund
22.8006
ULIF00604/03/03BSLNOURISH109
Pension Growth Fund
27.7197
ULIF00504/03/03BSLIGROWTH109
Pension Enrich Fund
31.9454
ULIF00404/03/03BSLIENRICH109
Titanium Fund - 1
12.1744
ULIF01911/12/09BSLITITAN1109
Titanium Fund - 2
11.9272
ULIF02011/12/09BSLITITAN2109
Titanium Fund - 3
10.9625
ULIF02111/12/09BSLITITAN3109
FORESIGHT - 5 PAY
11.1414
ULIF02510/02/11BSLFSIT5P1109
FORESIGHT - SINGLE PAY
11.3877
ULIF02610/02/11BSLFSITSP1109
Pure Equity Fund
11.6164
ULIF02707/10/11BSLIPUREEQ109
Value Momentum Fund
10.9821
ULIF02907/10/11BSLIVALUEM109
Liquid Plus Fund
10.9071
ULIF02807/10/11BSLLIQPLUS109
Discontinued Policy Fund
12.0382
ULIF02301/07/10BSLIDISCPF109
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