Fund Management
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| We understand that different people have different
financial needs and risk appetite. Therefore we offer a range of
funds to cater to your investment management needs. You can choose
to allocate your premiums to any, all or a combination of the
unit-linked funds. |
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Equity II fund (SFIN Code:ULIF00607/01/10EQUTYIIFND136) |
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| The Fund's primary objective is to have high capital appreciation through investment in equities. To maintain liquidity the fund will invest in cash and money market instruments. |
| Open for New Business |
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Growth Plus Fund (SFIN Code:ULIF00913/09/10GROWTPLFND136)
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| This fund invests in listed equities and high quality fixed income and money market instruments. The fund intends to adopt a relatively aggressive approach towards bonds and equities with the objective of achieving capital appreciation.
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| Open for New Business |
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Balanced Plus Fund (SFIN Code:ULIF01013/09/10BLNCDPLFND136)
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| This fund adopts a relatively balanced approach towards bonds and equities exposure with the objective of achieving capital appreciation with minimal short-term performance volatility.
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| Open for New Business |
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Debt Plus Fund (SFIN Code:ULIF01115/09/10DEBTPLFUND136)
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| This fund invests in a portfolio of high quality bonds and other fixed and floating rate securities issued by the Government, Government agencies and corporate issuers. To maintain liquidity, the fund invests in the money market instruments.
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| Open for New Business |
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Liquid fund (SFIN Code:ULIF00514/07/08LIQUIDFUND136) |
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| This fund primarily invests in portfolio constituted of money market and high quality debt securities.
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| Open for New Business |
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Equity fund (SFIN Code:ULIF00116/06/08EQUITYFUND136) |
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| The Fund's primary objective is to have high capital appreciation through investment in equities. To maintain liquidity the fund will invest in cash and money market instruments. |
| Withdrawn |
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Growth fund (SFIN Code:ULIF00216/06/08GROWTHFUND136) |
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| This fund invests in listed equities and high quality fixed income and money market instruments. The fund intends to adopt a relatively aggressive approach towards bonds and equities with the objective of achieving capital appreciation.
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| Withdrawn |
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Growth II fund (SFIN Code:ULIF00707/01/10GROWTIIFND136) |
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| This fund invests in listed equities and high quality fixed income and money market instruments. The fund intends to adopt a relatively aggressive approach towards bonds and equities with the objective of achieving capital appreciation.
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| Withdrawn |
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Balanced fund (SFIN Code:ULIF00316/06/08BLNCEDFUND136)
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| This fund adopts a relatively balanced approach towards bonds and equities exposure with the objective of achieving capital appreciation with minimal short-term performance volatility.
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| Withdrawn |
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Balanced II fund (SFIN Code:ULIF00807/01/10BLNCDIIFND136)
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| This fund adopts a relatively balanced approach towards bonds and equities exposure with the objective of achieving capital appreciation with minimal short-term performance volatility.
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| Withdrawn |
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Debt fund (SFIN Code:ULIF00409/07/08INDEBTFUND136) |
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| This fund invests in a portfolio of high quality bonds and other fixed and floating rate securities issued by the Government, Government agencies and corporate issuers. To maintain liquidity, the fund invests in the money market instruments.
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| Withdrawn |
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NAV Guarantee Fund series 1 (SFIN Code:ULIF01215/04/11NAVGFUNDSI136) |
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| To generate long-term capital appreciation from active management of a portfolio of equity and fixed income securities. The allocation between equity and debt will be dynamically managed depending on the prevalent market conditions to safeguard capital appreciation. The use of derivatives will be as approved by IRDA.
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| Withdrawn |
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Discontinued Policy Fund (SFIN Code:ULIF01319/09/11POLDISCFND136) |
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| To generate reasonable returns on funds from discontinued policies determined in accordance with the Regulations. This fund will primarily invest in portfolio constituted of money market and high quality fixed income securities.
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Disclosures: |
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- The various funds
offered are the names of the funds and do not, in any way
indicate the quality of these funds, their future prospects
and returns.
- Unit Linked Life
Insurance products are different from traditional insurance
products and are subject to risk factors.
- Unit Linked Funds
are subject to market risks and there is no assurance or
guarantee that the objective of the investment fund will be
achieved.
- Past performance of
the investment funds do not indicate the future performance
of the same. Investors in the Scheme are not being offered
any guaranteed / assured results.
- The premiums paid in
Unit-Linked Life Insurance policies are subject to
investment risk associated with capital markets. The NAVs of
the units may go up or down based on the performance of the
fund and factors influencing the capital market and the
insured is responsible for his/her decisions.
- The investment risk
in Investment Portfolio is borne by the policyholder.
- For more details on
risk factors, terms and conditions please read sales
brochure carefully before concluding a sale.
- Insurance is the
subject matter of the solicitation.
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