You are on page 1of 1

Historical NAV

Date : 02-Dec-2021 7:54:20 PM

Product SBI Life - Smart InsureWealth Plus

Fund SBI Life Equity Fund

From Date: 02-Nov-2021 To Date: 01-Dec-2021

SFIN: ULIF001100105EQUITY-FND111

EFFECTIVE DATE NAV


01-12-2021 136.999
30-11-2021 135.7244
29-11-2021 136.1749
26-11-2021 136.0886
25-11-2021 140.3487
24-11-2021 139.2165
23-11-2021 140.1136
22-11-2021 139.2141
18-11-2021 141.8811
17-11-2021 143.0387
16-11-2021 143.6807
15-11-2021 144.3028
12-11-2021 144.2402
11-11-2021 142.5482
10-11-2021 143.5845
09-11-2021 143.9036
08-11-2021 143.6612
03-11-2021 141.9669
02-11-2021 142.477

You might also like