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Latest Net Asset Value

Latest NAV

Stay Updated with the Latest NAV History of Canara HSBC Life Insurance Funds.

Latest NAV (Net Asset Value)
As on 29 May, 2026
Fund Name SFIN NAV (₹)
Equity Fund ULIF00116/06/08EQUITYFUND136 50.9829
Growth Fund ULIF00216/06/08GROWTHFUND136 48.2537
Balanced Fund ULIF00316/06/08BLNCEDFUND136 44.6104
Debt Fund ULIF00409/07/08INDEBTFUND136 38.6915
Liquid Fund ULIF00514/07/08LIQUIDFUND136 28.8727
Equity II Fund ULIF00607/01/10EQUTYIIFND136 39.5633
Growth II Fund ULIF00707/01/10GROWTIIFND136 41.7760
Balanced II Fund ULIF00807/01/10BLNCDIIFND136 36.4123
Growth Plus Fund ULIF00913/09/10GROWTPLFND136 35.7944
Balanced Plus Fund ULIF01013/09/10BLNCDPLFND136 31.8479
Debt Plus Fund ULIF01115/09/10DEBTPLFUND136 27.9325
Discontinued Policy Fund ULIF01319/09/11POLDISCFND136 24.5803
Pension Growth Fund ULIF01405/11/15PENSGROFND136 18.3871
India Multi-Cap Equity Fund ULIF01816/08/16IMCAPEQFND136 28.8675
Policyholders Unclaimed Monies Fund ULIF01901/04/16UNCLAIMFND136 16.8208
Pension Discontinued Policy Fund ULIF01705/11/15PENSDISFND136 15.4527
Emerging Leaders Equity Fund ULIF02020/12/17EMLEDEQFND136 33.8633
Pension Balanced Fund ULIF01505/11/15PENSBALFND136 12.5742
Large Cap Advantage Fund ULIF02109/06/20LARCPADFND136 19.5356
Midcap Momentum Growth Index Fund ULIF02218/03/24MIDMIEQFND136 10.6948
BSE 500 Enhanced Value 50 Fund ULIF03026/03/26ENVALEQFND136 9.9905
India Manufacturing Fund ULIF02305/11/24INMFGEQFND136 10.9736
Multicap Momentum Quality Index Fund ULIF02410/03/25MLMMQEQFND136 11.1507
Nifty Alpha 50 Index Fund ULIF02502/04/25NFALFEQFND136 11.0031
NextGen Consumption Fund ULIF02910/11/25NGCONEQFND136 8.9829
Nifty 500 Multifactor 50 Index Fund ULIF02715/09/25MLFACEQFND136 9.6812
Pension Debt Fund ULIF01605/11/15PENSDEBFND136 10.0825
Pension Nifty Alpha 50 Index Fund ULIF02611/08/25PNALFEQFND136 10.4430
Pension Equity Fund ULIF02822/02/26PENONEQFND136 10.3218
Change in the valuation policy of Equity Share

Pursuant to IRDA circular ref - IRDA/F&I/INV/CIR/213/10/2013 dated 30th October 2013, the Investment committee of the Company has selected National Stock Exchange (NSE) as its primary exchange and Bombay Stock Exchange (BSE) as its secondary exchange. Hence, the Company with effect from 11th Nov 2013, will use the closing price of NSE for valuation of equity shares. In case if such security is not listed/traded on NSE, the closing price of BSE will be used. Until then, the current practice of valuing the equity shares at lower of closing price at NSE or BSE will continue.

NAV History
Select any 1 funds from the list
Equity Fund
Growth Fund
Balanced Fund
Debt Fund
Liquid Fund
Equity II Fund
Growth II Fund
Balanced II Fund
Growth Plus Fund
Balanced Plus Fund
Debt Plus Fund
Discontinued Policy Fund
Pension Growth Fund
India Multi-Cap Equity Fund
Policyholders Unclaimed Monies Fund
Pension Discontinued Policy Fund
Emerging Leaders Equity Fund
Pension Balanced Fund
Large Cap Advantage Fund
Midcap Momentum Growth Index Fund
India Manufacturing Fund
Multicap Momentum Quality Index Fund
Nifty Alpha 50 Index Fund
Pension Debt Fund
Pension Nifty Alpha 50 Index Fund
Nifty 500 Multifactor 50 Index Fund
NextGen Consumption Fund
Pension Equity Fund
BSE 500 Enhanced Value 50 Fund
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