SFIN Fund Options NAV Date NAV(Rs)
ULIF 013 16/12/09 PNPRIMEEQU 101 Prime Equity Pension Fund 01-Aug-2025 44.99
ULIF 003 13/03/01 BSLPROTECT 109 Protector 01-Aug-2025 67.91
ULIF 005 20/12/07 PROTECTFND 128 Protector Fund 01-Aug-2025 33.90
ULIF 002 25/01/05 PROTECTORF 117 Protector Fund 01-Aug-2025 36.44
ULIF 003 22/10/01 LProtect1 105 Protector Fund 01-Aug-2025 57.10
ULIF 003 13/03/01 BSLPROTECT 109 Protector Fund 01-Aug-2025 67.91
ULIF 009 11/07/06 LIFPROTECT 122 Protector Fund (Post 31-July-06 01-Aug-2025 40.29
ULIF 009 11/07/06 LIFPROTECT 122 Protector Fund (Post 31-July-2006) 01-Aug-2025 40.29
ULIF 009 11/07/06 LIFPROTECT 122 Protector Fund (Post 31-July-2006> 01-Aug-2025 40.29
ULIF 009 11/07/06 LIFPROTECT 122 Protector Fund <Post 31-July-2006> 01-Aug-2025 40.29