Bharti Axa Life Insurance Company Limited

Category
  
Bharti AXA Life - Growth Opportunities Pension Category Multi-Cap Latest NAV 120.3653 NAV Date Mar 21, 2025
Bharti AXA Life - Growth Opportunities Fund Category Multi-Cap Latest NAV 126.9639 NAV Date Mar 21, 2025
Bharti AXA Life - Steady Money Category Other Bond Latest NAV 39.5890 NAV Date Mar 21, 2025
Bharti AXA Life - True Wealth Fund Category Dynamic Asset Allocation Latest NAV 16.5819 NAV Date Mar 21, 2025
Bharti AXA Life Insurance Emerging Equity Fund Category Mid-Cap Latest NAV NAV Date
Bharti AXA Life - Save and Grow Money Pension Category Balanced Allocation Latest NAV 44.8794 NAV Date Mar 21, 2025
Bharti AXA Life - Safe Money Pension Fund Category Other Bond Latest NAV 24.0973 NAV Date Mar 21, 2025
Bharti AXA Life- Group Debt Fund Category Group Bond Latest NAV 16.6220 NAV Date Mar 21, 2025
Bharti AXA Life - Grow Money Category Large-Cap Latest NAV 95.6323 NAV Date Mar 21, 2025
Bharti AXA Life - Growth Opportunities Plus Fund Category Multi-Cap Latest NAV 68.1783 NAV Date Mar 21, 2025
Bharti AXA Life - Steady Money Pension Fund Category Other Bond Latest NAV 34.7648 NAV Date Mar 21, 2025
Bharti AXA Life - Grow Money Pension Category Large-Cap Latest NAV 52.9098 NAV Date Mar 21, 2025
Bharti AXA Life - Growth Opportunities Pension Plus Fund Category Multi-Cap Latest NAV 74.5940 NAV Date Mar 21, 2025
Bharti AXA Life - Grow Money Pension Plus Category Large-Cap Latest NAV 63.9017 NAV Date Mar 21, 2025
Bharti AXA Life - Build India Fund Category Large-Cap Latest NAV 57.0266 NAV Date Mar 21, 2025
Bharti AXA Life - Save and Grow Category Balanced Allocation Latest NAV 57.2059 NAV Date Mar 21, 2025
Bharti AXA Life - Grow Money Plus Category Large-Cap Latest NAV 63.8371 NAV Date Mar 21, 2025
Bharti AXA Life - Build India Pension Fund Category Large-Cap Latest NAV 51.2798 NAV Date Mar 21, 2025
Bharti AXA Life - Build n Protect Series 1 Category Other Bond Latest NAV 25.2414 NAV Date Mar 21, 2025
Bharti AXA Life - Safe Money Fund Category Other Bond Latest NAV 24.2657 NAV Date Mar 21, 2025
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