Growth Fund II funds ULIF01808/01/2010LIGROWT-II122 Nav value 39.68 Date Mon, 04/07/2025 - 00:00 Read more about Growth Fund II
Balanced Fund II funds ULIF01508/01/2010LIBALAN-II122 Nav value 34.67 Date Mon, 04/07/2025 - 00:00 Read more about Balanced Fund II
Protector Fund II funds ULIF02108/01/2010LIPROTE-II122 Nav value 29.48 Date Mon, 04/07/2025 - 00:00 Read more about Protector Fund II
Enhancer Fund II funds ULIF01708/01/2010LIFENHN-II122 Nav value 49.82 Date Mon, 04/07/2025 - 00:00 Read more about Enhancer Fund II
Bond Fund II funds ULIF01608/01/2010LIFDEBT-II122 Nav value 27.90 Date Mon, 04/07/2025 - 00:00 Read more about Bond Fund II
Index Fund II funds ULIF02008/01/2010LIFINDX-II122 Nav value 40.97 Date Mon, 04/07/2025 - 00:00 Read more about Index Fund II
Pension Growth Fund II funds ULIF02425/01/2010PNGROWT-II122 Nav value 37.80 Date Mon, 04/07/2025 - 00:00 Read more about Pension Growth Fund II
Pension Balanced Fund II funds ULIF02325/01/2010PNBALAN-II122 Nav value 32.88 Date Mon, 04/07/2025 - 00:00 Read more about Pension Balanced Fund II