Updated NAV

NAV FOR THE DATE : 08/07/2011 Plan Name & Fund Options Face Value NAV as on date Repurchase Value Sale Value BIMA PLUS Launch Date:02/02/2001 Secured 10.00 33.0902 31.4357 33.0902 Balanced 10.00 42.3362 40.2194 42.3362 Risk 10.00 61.2377 58.1758 61.2377 FUTURE PLUS Launch Date:04/03/2005 Bond 10.00 14.3982 14.3982 14.3982 Income Read more…