Aviva Life Insurance Company Limited

Category
  
Aviva Life - Pension Unit Linked Growth Fund Category Balanced Allocation Latest NAV 61.5347 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Growth Fund Category Aggressive Allocation Latest NAV 113.1516 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Bond Fund Category Other Bond Latest NAV 32.5560 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Protector Fund Category Conservative Allocation Latest NAV 37.5508 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Protector Fund Category Conservative Allocation Latest NAV 33.0743 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Balanced Fund Category Balanced Allocation Latest NAV 111.1809 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Secure Fund Category Conservative Allocation Latest NAV 44.9226 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Protector Fund II Category Conservative Allocation Latest NAV 28.7328 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Balance Fund II Category Balanced Allocation Latest NAV 34.2723 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Enhancer Fund Category Equity - Other Latest NAV 52.5139 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Index Fund Category Large-Cap Latest NAV 49.6339 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Balanced Fund II Category Balanced Allocation Latest NAV 32.7723 NAV Date Feb 19, 2025
Aviva Life - Pension Unitised With Profit Fund Category Other Bond Latest NAV 60.6558 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Index Fund Category Large-Cap Latest NAV 40.3220 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Balance Fund Category Balanced Allocation Latest NAV 85.8986 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Secure Fund Category Group Allocation Latest NAV 44.7672 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Short-Term Debt Fund Category Group Bond Latest NAV 25.8600 NAV Date Oct 18, 2024
Aviva Life - Life Unit Linked Enhancer Fund II Category Equity - Other Latest NAV 51.6077 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Growth Fund II Category Aggressive Allocation Latest NAV 40.3962 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Cash Fund Category Group Bond Latest NAV 33.4402 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Bond Fund II Category Other Bond Latest NAV 26.5343 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Index Fund II Category Large-Cap Latest NAV 42.4541 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Pension Secure Fund Category Conservative Allocation Latest NAV 38.8116 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked PSU Fund Category Equity - Other Latest NAV 35.7907 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Balanced Fund Category Group Allocation Latest NAV 44.6429 NAV Date Feb 19, 2025
Aviva Life - Life Unit Linked Infrastructure Fund Category Equity - Other Latest NAV 32.5527 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Growth Fund Category Group Allocation Latest NAV 58.4073 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Growth Fund II Category Balanced Allocation Latest NAV 37.5128 NAV Date Feb 19, 2025
Aviva Life - Unitised With Profit Fund Category Other Bond Latest NAV 60.5593 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Protector Fund II Category Conservative Allocation Latest NAV 25.8070 NAV Date Feb 19, 2025
Aviva Life - Unit Linked Dynamic PE Fund Category Equity - Other Latest NAV 41.5329 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Index Fund II Category Large-Cap Latest NAV 47.3547 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked PSU Fund Category Equity - Other Latest NAV 37.2498 NAV Date Feb 19, 2025
Aviva Life - Pension Unit Linked Infrastructure Fund Category Equity - Other Latest NAV 33.0080 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Debt Fund Category Group Bond Latest NAV 38.2814 NAV Date Feb 19, 2025
Aviva Life - Group Superannuation & Gratuity Income Fund Category Group Bond Latest NAV 17.0280 NAV Date Oct 18, 2024
Displaying 1 to 50 of results

© Copyright 2025 Morningstar, Inc. All rights reserved.
Terms of Use    Privacy Policy
© Copyright 2025 Morningstar, Inc. All rights reserved. Please read our Terms of Use above. This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.
As of December 1st, 2023, the ESG-related information, methodologies, tools, ratings, data and opinions contained or reflected herein are not directed to or intended for use or distribution to India-based clients or users and their distribution to Indian resident individuals or entities is not permitted, and Morningstar/Sustainalytics accepts no responsibility or liability whatsoever for the actions of third parties in this respect.
Company: Morningstar India Private Limited; Regd. Office: 9th floor, Platinum Technopark, Plot No. 17/18, Sector 30A, Vashi, Navi Mumbai – 400705, Maharashtra, India; CIN: U72300MH2004PTC245103; Telephone No.: +91-22-61217100; Fax No.: +91-22-61217200; Contact: Morningstar India Help Desk (e-mail: helpdesk.in@morningstar.com) in case of queries or grievances.
Top