SFIN Fund Options NAV Date NAV(Rs)
ULIF 009 15/12/09 PROTECTOR2 117 Protector Fund II 01-Aug-2025 29.97
ULIF 021 08/01/10 LIPROTE-II 122 Protector Fund II 01-Aug-2025 30.31
ULIF 016 17/05/04 LProtect2 105 Protector Fund II 01-Aug-2025 52.91
ULIF 021 08/01/10 LIPROTE-II 122 Protector Fund II (Post 31-Dec-2009) 01-Aug-2025 30.31
ULIF 021 08/01/10 LIPROTE-II 122 Protector Fund II <Post 31-Dec-2009> 01-Aug-2025 30.31
ULIF 024 13/03/06 LProtect3 105 Protector Fund III 01-Aug-2025 41.22
ULIF 041 27/08/07 LProtect4 105 Protector Fund IV 01-Aug-2025 42.52
ULIF 021 08/01/10 LIPROTE-II 122 Protector Fund-II 01-Aug-2025 30.31
ULIF 009 15/12/09 PROTECTOR2 117 Protector II 01-Aug-2025 29.97
ULIF 022 08/01/10 LIFEPSUFND 122 PSU Fund 01-Aug-2025 40.68