You are here: Home / Customer Services / NAV
     
     
  About Us  
  Products & Services  
  Financial Planning  
   
   
   
      Premium Payment  
      Policy Details on SMS  
      Policy Servicing Form  
      ECS  
      NAV  
  Media Centre  
       

Click here to download Aviva Investor
Net Asset Value (NAV)



As per IRDA guidelines, all our unit-linked products have been modified with effect from 1 July 2006.
 
If you bought your policy on or before 30 June 2006, click here to view NAV
If you bought your policy on or after 1 July 2006 click here to view NAV
  © Aviva 2003 Privacy