Pension Unitised With Profit funds AV042 Nav value 74.14 Date Wed, 03/19/2025 - 00:00 difference 0.04 diffpercentage 0.05 Read more about Pension Unitised With Profit
Unit Linked Midcap Fund funds ULIF03323/01/2024LIFEMIDCAP122 Nav value 9.90 Date Wed, 03/19/2025 - 00:00 difference 0.24 diffpercentage 2.43 Read more about Unit Linked Midcap Fund
Balanced Fund funds ULIF00106/06/2002LIFBALANCE122 Nav value 111.62 Date Wed, 03/19/2025 - 00:00 difference 0.26 diffpercentage 0.23 Read more about Balanced Fund
Growth Fund funds ULIF00527/01/2004LIFEGROWTH122 Nav value 113.37 Date Wed, 03/19/2025 - 00:00 difference 0.39 diffpercentage 0.35 Read more about Growth Fund
Secure Fund funds ULIF00627/01/2004LIFESECURE122 Nav value 45.18 Date Wed, 03/19/2025 - 00:00 difference 0.09 diffpercentage 0.20 Read more about Secure Fund
Protector Fund funds ULIF00911/07/2006LIFPROTECT122 Nav value 37.76 Date Wed, 03/19/2025 - 00:00 difference 0.08 diffpercentage 0.20 Read more about Protector Fund
Pension Balanced Fund funds ULIF00311/02/2003PNSBALANCE122 Nav value 86.25 Date Wed, 03/19/2025 - 00:00 difference 0.20 diffpercentage 0.24 Read more about Pension Balanced Fund
Pension Growth Fund funds ULIF00703/03/2005PNSNGROWTH122 Nav value 61.67 Date Wed, 03/19/2025 - 00:00 difference 0.18 diffpercentage 0.30 Read more about Pension Growth Fund
Pension Secure Fund funds ULIF00803/03/2005PNSNSECURE122 Nav value 39.03 Date Wed, 03/19/2025 - 00:00 difference 0.08 diffpercentage 0.20 Read more about Pension Secure Fund
Pension Index Fund funds ULIF01122/01/2008PNSNINDEXF122 Nav value 49.53 Date Wed, 03/19/2025 - 00:00 difference 0.17 diffpercentage 0.34 Read more about Pension Index Fund