Sunday, September 28, 2008

mahalaya online

Mahalaya Durga Puja mahalaya : Durga Puja
The traditional six day countdown to Mahasaptami starts from Mahalaya. Goddess Durga visits the earth for only four days but seven days prior to the Pujas.

Mahalaya, the auspicious occasion that heralds the advent of goddess Durga has almost become synonymous with an early morning radio program.

Mahalaya During Durga Puja,Occasion of Mahalaya,Mahalaya Festival ...
durga puja 2008 - Mahalaya during durga puja, occasion of mahalaya, mahalaya festival, the day of tarpan, tarpan day, the festival of mahalya.

mahalaya
mahalaya online
mahalaya birendra
mahalaya greetings

mahalaya songs
mahalaya download
mahishasura mardini
mahalaya sms
mahalaya audio
mahalaya live

Thursday, September 25, 2008

kerala university BTech result

kerala university BTech Result 2008
S1S2 Result
Combined first year result

http://www.keralauniversity.edu/result08/S1%20May2008.htm


Results of I & II Semesters B.Tech Degree Examination (2003 Scheme) held in May 2008


Other Kerala University Results


Results of I & II Semesters B.Tech Degree Examination (2003 Scheme) held in May 2008
Results of First Semester B.Ed Degree Examination(Restructured) April 2008 and Supplementary Examination (Annual Scheme) April 2008
Results of Second Year B.Sc Computer Science BCA Degree Regular and Supplementary Examinations January 2008
Results of First Year B.Sc Computer Science BCA Degree Regular and Supplementary Examinations December 2007
Results of Final Year B.P.A Degree Examinations April/May 2008
University Toppers Provisional List
Results of Eighth Semester (2003 Scheme) B.Tech Degree Examination May 2008
Results of Seventh Semester (2003 Scheme) B.Tech Degree Examination May 2008
INTERNAL MARKS M.Sc MATHEMATICS (FINAL) JULY / AUG 2008
RESULTS OF SIXTH SEMESTER B.Com HOTEL MANAGEMENT & CATERING (RESTRUCTURED) DEGREE EXAMINATION APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc CLINICAL NUTRITION AND DIETETICS(VOCATIONAL)DEGREE EXAMINATION APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc BIOTECHNOLOGY(VOCATIONAL) DEGREE EXAMINATION APRIL 2008
RESULTS OF PRILIMINARY M.D (AYUR)DGREE EXAMINATION) JUNE 2008
RESULTS OF SIXTH SEMESTER B.Sc(COMPUTER SCIENCE) DEGREE EXAMINATIONS(REGULAR AND SUPPLIMENTARY) 2004,2000 AND PRIOR TO 2000 SCHEMES APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc INDUSTRIAL CHEMISTRY(VOCATIONAL) DEGREE EXAMINATIONS APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc CHEMISTRY AND INDUSTRIAL CHEMISTRY(RESTRUCTURED) DEGREE EXAMINATION APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc BOTONY AND BIOTECHNOLOGY(RESTRUCTURED) DEGREE EXAMINATION APRIL 2008
RESULTS OF SIXTH SEMESTER B.B.A DEGREE EXAMINATION REGULAR AND SUPPLEMENTARY (2003 SCHEME) AND PRIOR TO 2003 SCHEME (SUPPLEMENTARY) APRIL 2008
RESULTS OF SIXTH SEMESTER B.Sc PHYSICS AND COMPUTER APPLICATIONS(RESTRUCTURED) DEGREE EXAMINATIONS,APRIL 2008
EE.II.A MBA RESULTSEM.I -V (F.T & P.T)

RESULTS OF FIRST YEAR B.A. DEGREE EXAMINATION(IDE – GULF CENTRES)MARCH-2008
RESULTS OF FIRST YEAR BCA DEGREE EXAMINATION(IDE – GULF CENTRES)MARCH-2008
RESULTS OF FIRST YEAR BCOM COMPUTER APPLICATIIONS DEGREE EXAMINATION(IDE – GULF CENTRES)MARCH-2008
RESULTS OF FIRST YEAR M.A DEGREE EXAMINATION(IDE – GULF CENTRES)MARCH-2008
Results Of Final Year B.Sc Degree Examinations March/April 2008
Results of Common Entrance Test for Admission to Teaching Departments in the University of Kerala-2008
Results of Third and Fourth Semesters B.Tech Degree Examinations(2003 Scheme-Transitory) held in January 2008
The details of the Candidates who have secured highest marks (Subject of change by revaluation) for various subjects under Part III of the Final Year B.A. Degree Examinations held in March/April 2008
The Results Of BA Degree Examinations New*
The Results of the Fourth semester B.Tech Degree examination (2003 scheme) held in January 2008
The Results of the Third semester B.Tech Degree examination (2003 scheme) held in January 2008
The Results of the Final Year BCA - IDE Courses – (Annual Scheme) Degree Examination, February 2008
The results of the Final Year B.Sc. (Computer Science) of IDE Courses – (Annual Scheme) – Degree Examinations, February 2008
Results Of Final Year B.Com.Degree Examination March/April 2008
RESULTS OF SIXTH SEMESTER BTECH EXAMINATIONS(2003 scheme)HELD IN JANUARY 2008
RESULTS OF FIFTH SEMESTER BTECH EXAMINATIONS(2003 scheme)HELD IN JANUARY 2008
RESULTS OF SECOND YEAR B.Sc. (SUBSIDIARIES) SUPPLEMENTARY EXAMINATION SEPTEMBER2007
RESULTS OF THE MBA(IDE) ENTRANCE EXAMINATION HELD ON 9TH FEBRUARY 2008
Results of First Semester PG Degree Examination Of Affiliated Colleges January 2008
Result of the written test (using OMR sheet)conducted on 3rd July 2005 for selection of Assistantant Grade II .htm format 14.9 MB (view in browser) .xls format 6.8 MB (view in spreedsheet applications)Answer Key I - For those who wrote the test on 3rd July 2005

McMahon Line

McMahon Line (macmohan line )
The McMahon Line is a demarcation line drawn on map referred to the Simla Convention, a treaty between Britain and Tibet signed in 1914.

macmohan line divides india from which of these countries?

Kapil Sibal

Kapil Sibal, Honourable Union Minister of State (Independent Charge) for Science and Technology and ocean development, Government of india.

number of states in india ?
Republic of India, has 28 + 1 states ... of Uttar Pradesh is so great that only five countries in the world have larger number of people

Wednesday, September 24, 2008

best mutual funds

best mutual funds in India


Aviva Life Insurance
Insurance Plans NAVs (Rs) Date
Aviva - EasyLife Plus Balanced Fund 30.69 23-09-2008
Aviva - EasyLife Plus Growth Fund 26.22 23-09-2008
Aviva - EasyLife Plus Protector Fund 11.34 23-09-2008
Aviva - EasyLife Plus Unitised with Profit 13.15 23-09-2008
Aviva - Freedom Life Balanced Fund 30.69 23-09-2008
Aviva - Freedom Life Bond Fund 10.23 23-09-2008
Aviva - Freedom Life Enhancer Fund 8.76 23-09-2008
Aviva - Freedom Life Growth Fund 26.22 23-09-2008
Aviva - Freedom Life Secure Fund 13.56 23-09-2008
Aviva - Life Bond Balanced Fund 30.69 23-09-2008
Aviva - Life Bond Bond Fund 32.12 28-01-2008
Aviva - Life Bond Growth Fund 26.22 23-09-2008
Aviva - Life Bond Index Fund 11.34 28-01-2008
Aviva - Life Bond Plus Balanced Fund 30.69 23-09-2008
Aviva - Life Bond Plus Growth Fund 26.22 23-09-2008
Aviva - Life Bond Plus Secure Fund 13.56 23-09-2008
Aviva - Life Bond Protector Fund 11.34 23-09-2008
Aviva - Life Bond Secure Fund 33.51 28-01-2008
Aviva - Life Bond Unitised with Profit Fund 13.15 23-09-2008
Aviva - Life Saver Plus Balanced Fund 30.69 23-09-2008
Aviva - Life Saver Plus Growth Fund 26.22 23-09-2008
Aviva - Life Saver Plus Protector Fund 11.34 23-09-2008
Aviva - Life Saver Plus Secure Fund 13.56 23-09-2008
Aviva - Lifebond 5 Balanced Fund 30.69 23-09-2008
Aviva - Lifebond 5 Enhancer Fund 8.76 23-09-2008
Aviva - Lifebond 5 Growth Fund 26.22 23-09-2008
Aviva - Lifebond 5 Index Fund 6.82 23-09-2008
Aviva - Lifebond 5 Secure Fund 13.56 23-09-2008
Aviva - LifeLong Balanced Fund 30.69 23-09-2008
Aviva - LifeLong Bond Fund 10.23 23-09-2008
Aviva - LifeLong Enhancer Fund 8.76 23-09-2008
Aviva - LifeLong Growth Fund 26.22 23-09-2008
Aviva - LifeLong Index Fund 6.82 23-09-2008
Aviva - LifeLong Protector Fund 11.34 23-09-2008
Aviva - LifeLong Unitised with Profit Fund 13.15 23-09-2008
Aviva - LifeSaver Balanced Fund 30.69 23-09-2008
Aviva - LifeSaver Growth Fund 26.22 23-09-2008
Aviva - LifeSaver Protector Fund 11.34 23-09-2008
Aviva - LifeSaver Super Balanced Fund 30.69 23-09-2008
Aviva - LifeSaver Super Growth Fund 26.22 23-09-2008
Aviva - LifeSaver Super Index Fund 6.82 23-09-2008
Aviva - LifeSaver Super Secure Fund 13.56 23-09-2008
Aviva - LifeSaver Unitised with Profit Fund 13.15 23-09-2008
Aviva - Little Master Balanced Fund 30.69 23-09-2008
Aviva - Little Master Growth Fund 26.22 23-09-2008
Aviva - Little Master Protector Fund 11.34 23-09-2008
Aviva - Little Master Secure Fund 13.56 23-09-2008
Aviva - Pension Plus Pension Balanced Fund 23.25 23-09-2008
Aviva - Pension Plus Pension Growth Fund 15.90 23-09-2008
Aviva - Pension Plus Pension Index Fund 8.42 23-09-2008
Aviva - Pension Plus Pension Secure Fund 12.35 23-09-2008
Aviva - Pension Plus Protector Fund 10.19 23-09-2008
Aviva - Pension Plus Unitised with Profit Fund 12.87 23-09-2008
Aviva - Save Guard Balanced Fund 30.69 23-09-2008
Aviva - Save Guard Enhancer Fund 8.76 23-09-2008
Aviva - Save Guard Growth Fund 26.22 23-09-2008
Aviva - Save Guard Index Fund 6.82 23-09-2008
Aviva - Save Guard Secure Fund 13.56 23-09-2008
Aviva - SaveGuard Junior Balanced Fund 30.69 23-09-2008
Aviva - SaveGuard Junior Growth Fund 26.22 23-09-2008
Aviva - SaveGuard Junior Secure Fund 13.56 23-09-2008
Aviva - Treasure Plus Secure Fund 13.56 23-09-2008
Aviva - Young Achiever Balanced Fund 30.69 23-09-2008
Aviva - Young Achiever Growth Fund 26.22 23-09-2008
Aviva - Young Achiever Protector Fund 11.34 23-09-2008
Aviva - Young Achiever Unitised with Profit Fund 13.15 23-09-2008
Aviva Life - SecureLife 13.56 23-09-2008

Bajaj Allianz Life Insurance
Insurance Plans NAVs (Rs) Date

Bajaj Allianz - Balancer Fund 10.71 26-07-2007
Bajaj Allianz - Balancer Pension Fund 10.97 26-07-2007
Bajaj Allianz - Capital UnitGain Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - Capital UnitGain Bond Fund 11.49 23-09-2008
Bajaj Allianz - Capital UnitGain Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - Capital UnitGain Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - Capital UnitGain Liquid Fund 12.07 23-09-2008
Bajaj Allianz - Century Plus Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - Century Plus Asset Allocation Fund 9.62 23-09-2008
Bajaj Allianz - Century Plus Bond Fund 11.49 23-09-2008
Bajaj Allianz - Century Plus Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - Century Plus Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - Century Plus Liquid Fund 12.07 23-09-2008
Bajaj Allianz - Family Gain Balanced Plus Fund 16.75 23-09-2008
Bajaj Allianz - Family Gain Debt Plus Fund 12.19 23-09-2008
Bajaj Allianz - Family Gain Equity Index Fund 24.77 23-09-2008
Bajaj Allianz - Family Gain Pure Equity Fund 13.63 23-09-2008
Bajaj Allianz - Future Secure Accelerator Mid cap Pension Fund 11.92 23-09-2008
Bajaj Allianz - Future Secure Asset Allocation Pension Fund 9.25 23-09-2008
Bajaj Allianz - Future Secure Bond Pension Fund 11.69 23-09-2008
Bajaj Allianz - Future Secure Equity Growth Pension Fund 11.55 23-09-2008
Bajaj Allianz - Future Secure Equity Index Pension Fund II 13.11 23-09-2008
Bajaj Allianz - Future Secure Pension Liquid Pension Fund 12.04 23-09-2008
Bajaj Allianz - Future Secure Pure Stock Pension Fund 9.40 23-09-2008
Bajaj Allianz - Life Long Gain Plan 10.71 23-09-2008
Bajaj Allianz - New Family Gain Bond Fund plan 11.49 23-09-2008
Bajaj Allianz - New Family Gain Equity Index Fund II plan 13.37 23-09-2008
Bajaj Allianz - New Family Gain Pure Stock Fund plan 13.11 23-09-2008
Bajaj Allianz - New SecureFirst Bond Fund 11.49 23-09-2008
Bajaj Allianz - New SecureFirst Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - New SecureFirst Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - New UnitGain Accelerator Mid cap Fund plan 11.78 23-09-2008
Bajaj Allianz - New UnitGain Bond Fund plan 11.49 23-09-2008
Bajaj Allianz - New UnitGain Easy Pension Plus RP Accelerator Mid cap Pension Fund 11.92 23-09-2008
Bajaj Allianz - New UnitGain Easy Pension Plus RP Bond Pension Fund 11.69 23-09-2008
Bajaj Allianz - New UnitGain Easy Pension Plus RP Equity Growth Pension Fund 11.55 23-09-2008
Bajaj Allianz - New UnitGain Easy Pension Plus RP Equity Index Pension Fund II 13.11 23-09-2008
Bajaj Allianz - New UnitGain Easy Pension Plus RP Liquid Pension Fund 12.04 23-09-2008
Bajaj Allianz - New UnitGain Equity Growth Fund plan 11.67 23-09-2008
Bajaj Allianz - New UnitGain Equity Index Fund II plan 13.37 23-09-2008
Bajaj Allianz - New UnitGain Guarantee SP - Capital Guarantee Fund 2012 10.65 23-09-2008
Bajaj Allianz - New UnitGain Guarantee SP - Capital Guarantee Fund 2014 10.52 23-09-2008
Bajaj Allianz - New UnitGain Guarantee SP - Capital Guarantee Fund 2017 10.51 23-09-2008
Bajaj Allianz - New UnitGain Liquid Fund plan 12.07 23-09-2008
Bajaj Allianz - New UnitGain Pension Accelerator Mid cap Pension Fund 11.92 23-09-2008
Bajaj Allianz - New UnitGain Pension Bond Pension Fund 11.69 23-09-2008
Bajaj Allianz - New UnitGain Pension Equity Growth Pension Fund 11.55 23-09-2008
Bajaj Allianz - New UnitGain Pension Equity Index Pension Fund II 13.11 23-09-2008
Bajaj Allianz - New UnitGain Pension Liquid Pension Fund 10.52 23-09-2008
Bajaj Allianz - New UnitGain Plus Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - New UnitGain Plus Bond Fund plan 11.49 23-09-2008
Bajaj Allianz - New UnitGain Plus Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - New UnitGain Plus Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - New UnitGain Plus Liquid Fund 12.07 23-09-2008
Bajaj Allianz - New UnitGain Plus SP Bond Fund 11.49 23-09-2008
Bajaj Allianz - New UnitGain Plus SP Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - New UnitGain Plus SP Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - New UnitGain Plus SP Liquid Fund 12.07 23-09-2008
Bajaj Allianz - New UnitGain Premier SP Premier Bond Fund 11.06 23-09-2008
Bajaj Allianz - New UnitGain Premier SP Premier Equity Growth Fund 11.28 23-09-2008
Bajaj Allianz - New UnitGain Premier SP Premier Equity Index Fund 12.92 23-09-2008
Bajaj Allianz - New UnitGain Super Bond Fund plan 11.49 23-09-2008
Bajaj Allianz - New UnitGain Super Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - New UnitGain Super Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - Premier Balancer Fund 10.60 26-07-2007
Bajaj Allianz - Pure Stock Pension Fund 9.40 23-09-2008
Bajaj Allianz - UnitGain Balanced Plan 14.74 23-09-2008
Bajaj Allianz - UnitGain Cash Plan 12.64 23-09-2008
Bajaj Allianz - UnitGain Debt Plan 11.52 23-09-2008
Bajaj Allianz - UnitGain Equity Gain Fund 23.30 23-09-2008
Bajaj Allianz - UnitGain Equity Mid Cap Plan 18.85 23-09-2008
Bajaj Allianz - UnitGain Equity Plan 19.40 23-09-2008
Bajaj Allianz - UnitGain Pension Balanced Plus Pension 15.91 23-09-2008
Bajaj Allianz - UnitGain Pension Cash Plus Pension 13.34 23-09-2008
Bajaj Allianz - UnitGain Pension Debt Plus Pension 12.56 23-09-2008
Bajaj Allianz - UnitGain Pension Equity Index Pension 21.79 23-09-2008
Bajaj Allianz - UnitGain Pension Equity Mid Cap Plus Pension 21.57 23-09-2008
Bajaj Allianz - UnitGain Pension Equity Plus Pension 21.24 23-09-2008
Bajaj Allianz - UnitGain Plus Balanced Plus 16.75 23-09-2008
Bajaj Allianz - UnitGain Plus Cash Plus 13.38 23-09-2008
Bajaj Allianz - UnitGain Plus Debt Plus 12.19 23-09-2008
Bajaj Allianz - UnitGain Plus Equity Index 24.77 23-09-2008
Bajaj Allianz - UnitGain Plus Equity Mid Cap Plus 19.90 23-09-2008
Bajaj Allianz - UnitGain Plus Equity Plus 24.10 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Asset Allocation Fund 9.25 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Bond Fund 11.49 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Equity Growth Fund 11.67 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - UnitGain Plus Gold Liquid Fund 12.07 23-09-2008
Bajaj Allianz - UnitGain Premier Balanced Fund 12.49 23-09-2008
Bajaj Allianz - UnitGain Premier Debt Fund 11.53 23-09-2008
Bajaj Allianz - UnitGain Premier Equity Fund 14.23 23-09-2008
Bajaj Allianz - UnitGain Premier Equity Gain Fund 12.55 23-09-2008
Bajaj Allianz - UnitGain Super Balanced Plus Fund 16.75 23-09-2008
Bajaj Allianz - UnitGain Super Debt Plus Fund 12.19 23-09-2008
Bajaj Allianz - UnitGain Super Equity Index Fund 24.77 23-09-2008
Bajaj Allianz - UnitGain Super Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - UnitGain Super Equity Plus Fund 24.10 23-09-2008
Bajaj Allianz - YoungCare Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - YoungCare Asset Allocation Fund 9.62 23-09-2008
Bajaj Allianz - YoungCare Bond Fund 11.49 23-09-2008
Bajaj Allianz - YoungCare Equity Growth Fund 11.28 23-09-2008
Bajaj Allianz - YoungCare Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - YoungCare Liquid Fund 12.07 23-09-2008
Bajaj Allianz - YoungCare Plus Accelerator Mid cap Fund 11.78 23-09-2008
Bajaj Allianz - YoungCare Plus Asset Allocation Fund 9.62 23-09-2008
Bajaj Allianz - YoungCare Plus Bond Fund 11.49 23-09-2008
Bajaj Allianz - YoungCare Plus Equity Growth Fund 11.28 23-09-2008
Bajaj Allianz - YoungCare Plus Equity Index Fund II 13.37 23-09-2008
Bajaj Allianz - YoungCare Plus Liquid Fund 12.07 23-09-2008

Bharti AXA Life Insurance
Insurance Plans NAVs (Rs) Date

Bharti AXA Life - AspireLife - Grow money 11.78 23-09-2008
Bharti AXA Life - AspireLife - Save`n`grow money 11.50 23-09-2008
Bharti AXA Life - AspireLife - Steady money 11.42 23-09-2008
Bharti AXA Life - AspireLife - Steady Money Pension 10.12 23-09-2008
Bharti AXA Life - Dream Life Pension - Grow Money Pension 6.57 23-09-2008
Bharti AXA Life - Dream Life Pension - Save and Grow Money Pension 9.01 23-09-2008
Bharti AXA Life - FutureConfident - Grow money 11.78 23-09-2008
Bharti AXA Life - FutureConfident - Save`n`grow money 11.50 23-09-2008
Bharti AXA Life - FutureConfident - Steady money 11.42 23-09-2008
Bharti AXA Life - FutureConfident II - Grow money 11.78 23-09-2008
Bharti AXA Life - FutureConfident II - Save`n`grow money 11.50 23-09-2008
Bharti AXA Life - FutureConfident II - Steady money 11.42 23-09-2008
Bharti AXA Life - InvestConfident - Grow money 11.78 23-09-2008
Bharti AXA Life - InvestConfident - Save`n`grow money 11.50 23-09-2008
Bharti AXA Life - InvestConfident - Steady money 11.42 23-09-2008
Bharti AXA Life - WealthConfident - Grow money 11.78 23-09-2008
Bharti AXA Life - WealthConfident - Save`n`grow money 11.50 23-09-2008
Bharti AXA Life - WealthConfident - Steady money 11.42 23-09-2008

Birla Sun Life Insurance
Insurance Plans NAVs (Rs) Date

Birla Sun Life Children`s Dream Plan Builder 20.44 23-09-2008
Birla Sun Life Children`s Dream Plan Enhancer 24.96 23-09-2008
Birla Sun Life Children`s Dream Plan Protector 17.36 23-09-2008
Birla Sun Life Classic Life Premier Assure Plan 12.55 23-09-2008
Birla Sun Life Classic Life Premier Builder Plan 20.44 23-09-2008
Birla Sun Life Classic Life Premier Creator Plan 16.80 23-09-2008
Birla Sun Life Classic Life Premier Enhancer Plan 24.96 23-09-2008
Birla Sun Life Classic Life Premier Magnifier Plan 19.66 23-09-2008
Birla Sun Life Classic Life Premier Maximiser 9.74 23-09-2008
Birla Sun Life Classic Life Premier Multipler Plan 6.82 23-09-2008
Birla Sun Life Classic Life Premier Protector Plan 17.36 23-09-2008
Birla Sun Life Dream Line Plan Builder 20.44 23-09-2008
Birla Sun Life Dream Plan Plan Enhancer 24.96 23-09-2008
Birla Sun Life Dream Plan Protector 17.36 23-09-2008
Birla Sun Life Flexi Cash Flow Money Back Plan Builder 20.44 23-09-2008
Birla Sun Life Flexi Cash Flow Money Back Plan Enhancer 24.96 23-09-2008
Birla Sun Life Flexi Cash Flow Money Back Plan Protector 17.36 23-09-2008
Birla Sun Life Flexi Life Line Plan Builder 20.44 23-09-2008
Birla Sun Life Flexi Life Line Plan Enhancer 24.96 23-09-2008
Birla Sun Life Flexi Life Line Plan Protector 17.36 23-09-2008
Birla Sun Life Flexi Save Plus Endowment Plan Builder 20.44 23-09-2008
Birla Sun Life Flexi Save Plus Endowment Plan Enhancer 24.96 23-09-2008
Birla Sun Life Flexi Save Plus Endowment Plan Protector 17.36 23-09-2008
Birla Sun Life Flexi SecureLife Retirement Plan II - Enrich 18.62 23-09-2008
Birla Sun Life Flexi SecureLife Retirement Plan II - Growth 16.04 23-09-2008
Birla Sun Life Flexi SecureLife Retirement Plan II - Nourish 14.24 23-09-2008
Birla Sun Life Gold-Plus II Plan Assure 12.55 23-09-2008
Birla Sun Life Gold-Plus II Plan Builder 20.44 23-09-2008
Birla Sun Life Gold-Plus II Plan Creator 16.80 23-09-2008
Birla Sun Life Gold-Plus II Plan Enhancer 24.96 23-09-2008
Birla Sun Life Gold-Plus II Plan Magnifier 19.66 23-09-2008
Birla Sun Life Gold-Plus II Plan Maximiser 9.74 23-09-2008
Birla Sun Life Gold-Plus II Plan Multiplier 6.82 23-09-2008
Birla Sun Life Gold-Plus II Plan Protector 17.36 23-09-2008
Birla Sun Life Individual Assure Fund 12.55 23-09-2008
Birla Sun Life Individual Balancer 12.65 23-09-2008
Birla Sun Life Individual Builder Fund 20.44 23-09-2008
Birla Sun Life Individual Creator 16.80 23-09-2008
Birla Sun Life Individual Enhancer Fund 24.96 23-09-2008
Birla Sun Life Individual Life Maximiser 9.74 23-09-2008
Birla Sun Life Individual Magnifier 19.66 23-09-2008
Birla Sun Life Individual Multiplier Fund 6.82 23-09-2008
Birla Sun Life Individual Pension Policy - Enrich 18.62 23-09-2008
Birla Sun Life Individual Pension Policy - Growth 16.04 23-09-2008
Birla Sun Life Individual Pension Policy - Nourish 14.24 23-09-2008
Birla Sun Life Individual Platinum Plus 1 8.94 23-09-2008
Birla Sun Life Individual Protector Fund 17.36 23-09-2008
Birla Sun Life Life Companion Endowment Balancer 12.65 23-09-2008
Birla Sun Life Life Companion Money Back Balancer 12.65 23-09-2008
Birla Sun Life Money Market Fund Plan I 13.42 23-09-2008
Birla Sun Life Money Market Fund Plan II 13.80 23-09-2008
Birla Sun Life Prime Life Creator Plan 16.80 23-09-2008
Birla Sun Life Prime Life Assure Plan 12.55 23-09-2008
Birla Sun Life Prime Life Builder Plan 20.44 23-09-2008
Birla Sun Life Prime Life Enhancer Plan 24.96 23-09-2008
Birla Sun Life Prime Life Magnifier Plan 19.66 23-09-2008
Birla Sun Life Prime Life Maximiser 9.74 23-09-2008
Birla Sun Life Prime Life Multiplier 6.82 23-09-2008
Birla Sun Life Prime Life Premier Assure Plan 12.55 23-09-2008
Birla Sun Life Prime Life Premier Builder Plan 20.44 23-09-2008
Birla Sun Life Prime Life Premier Creator Plan 16.80 23-09-2008
Birla Sun Life Prime Life Premier Enhancer Plan 24.96 23-09-2008
Birla Sun Life Prime Life Premier Magnifier Plan 19.66 23-09-2008
Birla Sun Life Prime Life Premier Maximiser 9.74 23-09-2008
Birla Sun Life Prime Life Premier Protector Plan 17.36 23-09-2008
Birla Sun Life Prime Life Protector Plan 17.36 23-09-2008
Birla Sun Life Saral Jeevan Plan Assure 12.55 23-09-2008
Birla Sun Life Saral Jeevan Plan Builder 20.44 23-09-2008
Birla Sun Life Saral Jeevan Plan Creator 16.80 23-09-2008
Birla Sun Life Saral Jeevan Plan Enhancer 24.96 23-09-2008
Birla Sun Life Saral Jeevan Plan Magnifier 19.66 23-09-2008
Birla Sun Life Saral Jeevan Plan Maximiser 9.74 23-09-2008
Birla Sun Life Saral Jeevan Plan Multiplier Fund 6.82 23-09-2008
Birla Sun Life Saral Jeevan Plan Protector 17.36 23-09-2008
Birla Sun Life SimplyLife Balancer 12.65 23-09-2008
Birla Sun Life SimplyLife Enhancer Fund 24.96 23-09-2008
Birla Sun Life Single Premium Bond Builder 20.44 23-09-2008
Birla Sun Life Single Premium Bond Enhancer 24.96 23-09-2008
Birla Sun Life Single Premium Bond Protector 17.36 23-09-2008
Birla Sun Life Supreme Life Assure Plan 12.55 23-09-2008
Birla Sun Life Supreme Life Builder Plan 20.44 23-09-2008
Birla Sun Life Supreme Life Creator Plan 16.80 23-09-2008
Birla Sun Life Supreme Life Enhancer Plan 24.96 23-09-2008
Birla Sun Life Supreme Life Magnifier Plan 19.66 23-09-2008
Birla Sun Life Supreme Life Maximiser 9.74 23-09-2008
Birla Sun Life Supreme Life Multiplier 6.82 23-09-2008
Birla Sun Life Supreme Life Protector Plan 17.36 23-09-2008

Canara HSBC Life Insurance
Insurance Plans NAVs (Rs) Date

Canara HSBC Life Unit Linked Endowment Plan - Balanced Fund 9.41 23-09-2008
Canara HSBC Life Unit Linked Endowment Plan - Debt Fund 10.34 23-09-2008
Canara HSBC Life Unit Linked Endowment Plan - Equity Fund 8.62 23-09-2008
Canara HSBC Life Unit Linked Endowment Plan - Growth Fund 8.78 23-09-2008
Canara HSBC Life Unit Linked Endowment Plan - Liquid Fund 10.16 23-09-2008
Canara HSBC Life Unit Linked Whole Life Plan - Balanced Fund 9.41 23-09-2008
Canara HSBC Life Unit Linked Whole Life Plan - Debt Fund 10.34 23-09-2008
Canara HSBC Life Unit Linked Whole Life Plan - Equity Fund 8.62 23-09-2008
Canara HSBC Life Unit Linked Whole Life Plan - Growth Fund 8.78 23-09-2008
Canara HSBC Life Unit Linked Whole Life Plan - Liquid Fund 10.16 23-09-2008

HDFC Standard Life Insurance
Insurance Plans NAVs (Rs) Date

HDFC Standard - Unit Linked Endowment Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Endowment Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Endowment Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Endowment Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Endowment Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Balanced Managed Fund II 8.29 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Defensive Managed Fund II 9.44 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Equity Managed Fund II 7.74 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Growth Fund II 6.73 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Liquid Fund II 10.56 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Secure Managed Fund II 10.11 23-09-2008
HDFC Standard - Unit Linked Endowment Plus II - Stable Managed Fund II 10.49 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Endowment Plus Stable Managed Fund 27.25 23-09-2008
HDFC Standard - Unit Linked Endowment Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Endowment Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Endowment Stable Managed Fund 27.25 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Balanced Managed Fund 36.04 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Defensive Managed Fund 28.02 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Equity Managed Fund 43.37 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Growth Fund 53.67 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Liquid Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Balanced Managed Fund 36.04 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Defensive Managed Fund 28.02 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Equity Managed Fund 43.37 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Growth Fund 53.67 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Liquid Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Secure Managed Fund 24.21 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Sovereign Fund 22.60 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Plus Stable Managed Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Secure Managed Fund 24.21 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Sovereign Fund 22.60 23-09-2008
HDFC Standard - Unit Linked Endowment Suvidha Stable Managed Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Balanced Managed Fund II 8.29 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Defensive Managed Fund II 9.44 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Equity Managed Fund II 7.74 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Growth Fund II 6.73 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Liquid Fund II 10.56 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Secure Managed Fund II 10.11 23-09-2008
HDFC Standard - Unit Linked Enhanced Life Protection II - Stable Managed Fund II 10.49 23-09-2008
HDFC Standard - Unit Linked Pension Balanced Managed Fund 36.04 23-09-2008
HDFC Standard - Unit Linked Pension Defensive Managed Fund 28.02 23-09-2008
HDFC Standard - Unit Linked Pension Equity Managed Fund 43.37 23-09-2008
HDFC Standard - Unit Linked Pension Growth Fund 53.67 23-09-2008
HDFC Standard - Unit Linked Pension Liquid Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Pension Plus Balanced Managed Fund 36.04 23-09-2008
HDFC Standard - Unit Linked Pension Plus Defensive Managed Fund 28.02 23-09-2008
HDFC Standard - Unit Linked Pension Plus Equity Managed Fund 43.37 23-09-2008
HDFC Standard - Unit Linked Pension Plus Growth Fund 53.67 23-09-2008
HDFC Standard - Unit Linked Pension Plus Liquid Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Pension Plus Secure Managed Fund 24.21 23-09-2008
HDFC Standard - Unit Linked Pension Plus Sovereign Fund 22.60 23-09-2008
HDFC Standard - Unit Linked Pension Plus Stable Managed Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Pension Secure Managed Fund 24.21 23-09-2008
HDFC Standard - Unit Linked Pension Sovereign Fund 22.60 23-09-2008
HDFC Standard - Unit Linked Pension Stable Managed Fund 27.24 23-09-2008
HDFC Standard - Unit Linked Young Star Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Young Star Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Young Star Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Young Star Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Young Star Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Balanced Managed Fund II 8.29 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Defensive Managed Fund II 9.44 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Equity Managed Fund II 7.74 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Growth Fund II 6.73 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Liquid Fund II 10.56 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Secure Managed Fund II 10.11 23-09-2008
HDFC Standard - Unit Linked Young Star Plus II - Stable Managed Fund II 10.49 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Young Star Plus Stable Managed Fund 27.25 23-09-2008
HDFC Standard - Unit Linked Young Star Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Young Star Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Young Star Stable Managed Fund 27.25 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Balanced Managed Fund 38.08 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Defensive Managed Fund 30.88 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Equity Managed Fund 46.78 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Growth Fund 55.76 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Liquid Fund 27.15 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Plus Stable Managed Fund 27.25 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Secure Managed Fund 24.45 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Sovereign Fund 22.55 23-09-2008
HDFC Standard - Unit Linked Young Star Suvidha Stable Managed Fund 27.25 23-09-2008

ICICI Prudential Life Insurance
Insurance Plans NAVs (Rs) Date

ICICI Pru Golden Years Balancer (Balanced) II 17.06 23-09-2008
ICICI Pru Golden Years Flexi Balanced II 10.95 23-09-2008
ICICI Pru Golden Years Flexi Growth II 10.86 23-09-2008
ICICI Pru Golden Years Maximiser (Growth) II 26.50 23-09-2008
ICICI Pru Golden Years Multiplier Fund II 8.41 23-09-2008
ICICI Pru Golden Years Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru Golden Years Protector (Income) II 12.47 23-09-2008
ICICI Pru Golden Years Rich Fund II 9.64 23-09-2008
ICICI Pru Invest Shield Life New 14.52 23-09-2008
ICICI Pru Life Cash Plus Fund 13.10 23-09-2008
ICICI Pru Life InvestShield Cash 12.52 23-09-2008
ICICI Pru Life InvestShield Gold 14.52 23-09-2008
ICICI Pru Life InvestShield Life 14.52 23-09-2008
ICICI Pru Life InvestShield Pension 14.59 23-09-2008
ICICI Pru Life Life Time Flexi Growth 10.74 23-09-2008
ICICI Pru Life LifeTime Plus Balancer II 17.06 23-09-2008
ICICI Pru Life LifeTime Plus Maximiser II 26.50 23-09-2008
ICICI Pru Life LifeTime Plus Preserver II 13.48 23-09-2008
ICICI Pru Life LifeTime Plus Protector II 12.47 23-09-2008
ICICI Pru Life LifeTime Super - Maximizer (Growth) 48.58 23-09-2008
ICICI Pru Life LifeTime Super Flexi Growth 10.74 23-09-2008
ICICI Pru Life LifeTime Super Pension Pension Balancer II 17.49 23-09-2008
ICICI Pru Life LifeTime Super Pension Pension Maximiser II 27.50 23-09-2008
ICICI Pru Life LifeTime Super Pension Pension Preserver (Short Term) II 13.42 23-09-2008
ICICI Pru Life LifeTime Super Pension Pension Protector II 12.53 23-09-2008
ICICI Pru Life Link Balancer 25.97 23-09-2008
ICICI Pru Life Link Flexi Balance 10.63 23-09-2008
ICICI Pru Life Link Flexi Growth 10.74 23-09-2008
ICICI Pru Life Link II Balancer II 17.06 23-09-2008
ICICI Pru Life Link II Flexi Balance II 10.95 23-09-2008
ICICI Pru Life Link II Flexi Growth II 10.86 23-09-2008
ICICI Pru Life Link II Maximiser Growth II 26.50 23-09-2008
ICICI Pru Life Link II Multiplier Fund II 8.41 23-09-2008
ICICI Pru Life Link II Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru Life Link II Protector Income II 12.47 23-09-2008
ICICI Pru Life Link II Rich Fund II 9.64 23-09-2008
ICICI Pru Life Link Maximiser Growth 48.58 23-09-2008
ICICI Pru Life Link Pension Balancer 24.38 23-09-2008
ICICI Pru Life Link Pension Flexi Balance 11.18 23-09-2008
ICICI Pru Life Link Pension Flexi Growth 10.37 23-09-2008
ICICI Pru Life Link Pension II Balancer II 17.49 23-09-2008
ICICI Pru Life Link Pension II Flexi Balanced II 11.16 23-09-2008
ICICI Pru Life Link Pension II Flexi Growth II 10.49 23-09-2008
ICICI Pru Life Link Pension II Maximiser Growth II 27.50 23-09-2008
ICICI Pru Life Link Pension II Multiplier Fund II 8.45 23-09-2008
ICICI Pru Life Link Pension II Preserver (Short Term) II 13.42 23-09-2008
ICICI Pru Life Link Pension II Protector Income II 12.53 23-09-2008
ICICI Pru Life Link Pension II Rich Fund II 9.45 23-09-2008
ICICI Pru Life Link Pension Maximiser Growth 48.41 23-09-2008
ICICI Pru Life Link Pension Multiplier Fund 8.43 23-09-2008
ICICI Pru Life Link Pension Preserver Short Term 13.42 23-09-2008
ICICI Pru Life Link Pension Protector Income 14.94 23-09-2008
ICICI Pru Life Link Pension Rich Fund 9.41 23-09-2008
ICICI Pru Life Link Preserver Short Term 13.48 23-09-2008
ICICI Pru Life Link Protector Income 16.55 23-09-2008
ICICI Pru Life Link Super Balancer III 12.01 23-09-2008
ICICI Pru Life Link Super Maximiser (Growth) III 12.28 23-09-2008
ICICI Pru Life Link Super Pension Balancer (Balanced )II 17.49 23-09-2008
ICICI Pru Life Link Super Pension Flexi Balance II 11.16 23-09-2008
ICICI Pru Life Link Super Pension Flexi Growth II 10.49 23-09-2008
ICICI Pru Life Link Super Pension Maximiser (Growth) II 27.50 23-09-2008
ICICI Pru Life Link Super Pension Multiplier Fund II 8.45 23-09-2008
ICICI Pru Life Link Super Pension Preserver (Short Term) II 13.42 23-09-2008
ICICI Pru Life Link Super Pension Protector (Income) II 12.53 23-09-2008
ICICI Pru Life Link Super Pension Rich Fund II 9.45 23-09-2008
ICICI Pru Life Link Super Preserver III 12.19 23-09-2008
ICICI Pru Life Link Super Protector (Income) III 11.69 23-09-2008
ICICI Pru Life Premier Life Gold Balancer II 17.06 23-09-2008
ICICI Pru Life Premier Life Gold Maximiser II 26.50 23-09-2008
ICICI Pru Life Premier Life Gold Multiplier Fund II 8.41 23-09-2008
ICICI Pru Life Premier Life Gold Preserver 13.48 23-09-2008
ICICI Pru Life Premier Life Gold Protector II 12.47 23-09-2008
ICICI Pru Life Premier Life Gold Rich Fund II 9.64 23-09-2008
ICICI Pru Life Secure Plus 12.95 23-09-2008
ICICI Pru Life Secure Plus Pension 12.70 23-09-2008
ICICI Pru Life Stage Pension Balancer 11.18 23-09-2008
ICICI Pru Life Stage Pension Flexi Balanced 24.38 23-09-2008
ICICI Pru Life Stage Pension Flexi Growth 10.37 23-09-2008
ICICI Pru Life Stage Pension Maximiser Growth 48.41 23-09-2008
ICICI Pru Life Stage Pension Multiplier Fund 8.43 23-09-2008
ICICI Pru Life Stage Pension Preserver (Short Term) 13.42 23-09-2008
ICICI Pru Life Stage Pension Protector Income 14.94 23-09-2008
ICICI Pru Life Stage Pension Rich Fund 9.41 23-09-2008
ICICI Pru Life Stage RP Balancer IV 10.27 23-09-2008
ICICI Pru Life Stage RP Flexi Balanced IV 9.73 23-09-2008
ICICI Pru Life Stage RP Flexi Growth IV 9.26 23-09-2008
ICICI Pru Life Stage RP Maximiser IV 9.45 23-09-2008
ICICI Pru Life Stage RP Multiplier Fund IV 8.36 23-09-2008
ICICI Pru Life Stage RP Preserver IV 10.90 23-09-2008
ICICI Pru Life Stage RP Protector IV 10.74 23-09-2008
ICICI Pru Life Stage RP Rich Fund IV 9.61 23-09-2008
ICICI Pru Life Time Balancer 25.97 23-09-2008
ICICI Pru Life Time Flexi Balanced 10.63 23-09-2008
ICICI Pru Life Time Gold Balancer 25.97 23-09-2008
ICICI Pru Life Time Gold Balancer II 17.06 23-09-2008
ICICI Pru Life Time Gold Balancer III 12.01 23-09-2008
ICICI Pru Life Time Gold Balancer IV 10.27 23-09-2008
ICICI Pru Life Time Gold Flexi Balanced 10.63 23-09-2008
ICICI Pru Life Time Gold Flexi Balanced II 10.95 23-09-2008
ICICI Pru Life Time Gold Flexi Balanced III 10.56 23-09-2008
ICICI Pru Life Time Gold Flexi Balanced IV 9.73 23-09-2008
ICICI Pru Life Time Gold Flexi Growth 10.74 23-09-2008
ICICI Pru Life Time Gold Flexi Growth II 10.86 23-09-2008
ICICI Pru Life Time Gold Flexi Growth III 10.70 23-09-2008
ICICI Pru Life Time Gold Flexi Growth IV 9.26 23-09-2008
ICICI Pru Life Time Gold Multiplier Fund 7.58 23-09-2008
ICICI Pru Life Time Gold Multiplier II 8.41 23-09-2008
ICICI Pru Life Time Gold Multiplier III 8.34 23-09-2008
ICICI Pru Life Time Gold Multiplier IV 8.36 23-09-2008
ICICI Pru Life Time Gold Preserver (Short Tem) 13.48 23-09-2008
ICICI Pru Life Time Gold Preserver (Short Tem) III 12.19 23-09-2008
ICICI Pru Life Time Gold Preserver (Short Tem) IV 10.90 23-09-2008
ICICI Pru Life Time Gold Protector (Income) 16.55 23-09-2008
ICICI Pru Life Time Gold Protector (Income) II 12.47 23-09-2008
ICICI Pru Life Time Gold Protector (Income) III 11.69 23-09-2008
ICICI Pru Life Time Gold Protector (Income) IV 10.74 23-09-2008
ICICI Pru Life Time Gold Rich Fund 9.57 23-09-2008
ICICI Pru Life Time Gold Rich Fund II 9.64 23-09-2008
ICICI Pru Life Time Gold Rich Fund III 9.59 23-09-2008
ICICI Pru Life Time Gold Rich Fund IV 9.61 23-09-2008
ICICI Pru Life Time II Flexi Balanced II 10.95 23-09-2008
ICICI Pru Life Time II Flexi Growth II 10.86 23-09-2008
ICICI Pru Life Time II Maximiser Growth II 26.50 23-09-2008
ICICI Pru Life Time II Multiplier Fund II 8.41 23-09-2008
ICICI Pru Life Time II Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru Life Time II Protector Income II 12.47 23-09-2008
ICICI Pru Life Time II Rich Fund II 9.64 23-09-2008
ICICI Pru Life Time Multiplier Fund 7.58 23-09-2008
ICICI Pru Life Time Pension Balancer 24.38 23-09-2008
ICICI Pru Life Time Pension Flexi Balanced 11.18 23-09-2008
ICICI Pru Life Time Pension Flexi Growth 10.37 23-09-2008
ICICI Pru Life Time Pension II Balancer II 17.49 23-09-2008
ICICI Pru Life Time Pension II Flexi Balanced II 11.16 23-09-2008
ICICI Pru Life Time Pension II Flexi Growth II 10.49 23-09-2008
ICICI Pru Life Time Pension II Multiplier Fund II 8.45 23-09-2008
ICICI Pru Life Time Pension II Preserver (Short Term) 13.42 23-09-2008
ICICI Pru Life Time Pension II Rich Fund II 9.45 23-09-2008
ICICI Pru Life Time Pension Maximiser Growth 48.41 23-09-2008
ICICI Pru Life Time Pension Multiplier Fund 8.43 23-09-2008
ICICI Pru Life Time Pension Preserver Short Term 13.42 23-09-2008
ICICI Pru Life Time Pension Rich Fund 9.41 23-09-2008
ICICI Pru Life Time Plus Flexi Balanced II 10.95 23-09-2008
ICICI Pru Life Time Plus Flexi Growth II 10.86 23-09-2008
ICICI Pru Life Time Plus Multiplier Fund II 8.41 23-09-2008
ICICI Pru Life Time Plus Rich Fund II 9.64 23-09-2008
ICICI Pru Life Time Preserver Short Term 13.48 23-09-2008
ICICI Pru Life Time Super Balancer (Balanced) 25.97 23-09-2008
ICICI Pru Life Time Super Flexi Balanced 10.63 23-09-2008
ICICI Pru Life Time Super Pension Flexi Balanced II 11.16 23-09-2008
ICICI Pru Life Time Super Pension Flexi Growth II 10.49 23-09-2008
ICICI Pru Life Time Super Pension Multiplier Fund II 8.45 23-09-2008
ICICI Pru Life Time Super Pension Rich Fund II 9.45 23-09-2008
ICICI Pru Life Time Super Preserver 13.48 23-09-2008
ICICI Pru Life Time Super Protector (Income) 16.55 23-09-2008
ICICI Pru LifeLink Super Flexi Balance III 10.56 23-09-2008
ICICI Pru LifeLink Super Flexi Growth III 10.70 23-09-2008
ICICI Pru LifeLink Super Multiplier Fund III 8.34 23-09-2008
ICICI Pru LifeLink Super Rich Fund III 9.59 23-09-2008
ICICI Pru LifeTime II Balancer II 17.06 23-09-2008
ICICI Pru LifeTime Maximiser Growth 48.58 23-09-2008
ICICI Pru LifeTime Pension II Protector Income II 12.53 23-09-2008
ICICI Pru LifeTime Pension II Maximiser Growth II 27.50 23-09-2008
ICICI Pru LifeTime Pension Protector Income 14.94 23-09-2008
ICICI Pru LifeTime Protector Income 16.55 23-09-2008
ICICI Pru New InvestShield Balance 12.15 23-09-2008
ICICI Pru Premier Life Gold Flexi Balanced II 10.95 23-09-2008
ICICI Pru Premier Life Gold Flexi Growth II 10.86 23-09-2008
ICICI Pru Premier Life Pension Balancer (Balanced) II 17.49 23-09-2008
ICICI Pru Premier Life Pension Flexi Balanced II 11.16 23-09-2008
ICICI Pru Premier Life Pension Flexi Growth II 10.49 23-09-2008
ICICI Pru Premier Life Pension Maximiser (Growth) II 27.50 23-09-2008
ICICI Pru Premier Life Pension Preserver (Short Tem) II 13.42 23-09-2008
ICICI Pru Premier Life Pension Protector (Income) II 12.53 23-09-2008
ICICI Pru PremierLife Balancer (Balanced) II 17.06 23-09-2008
ICICI Pru PremierLife Flexi Balanced II 10.95 23-09-2008
ICICI Pru PremierLife Flexi Growth II 10.86 23-09-2008
ICICI Pru PremierLife Maximiser (Growth) II 26.50 23-09-2008
ICICI Pru PremierLife Multiplier Fund II 8.41 23-09-2008
ICICI Pru PremierLife Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru PremierLife Protector (Income) II 12.47 23-09-2008
ICICI Pru PremierLife Rich Fund II 9.64 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Balancer II 17.06 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Flexi Balanced II 10.95 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Flexi Growth II 10.86 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Maximiser II 26.50 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Multiplier Fund II 8.41 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Preserver II 13.48 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Protector II 12.47 23-09-2008
ICICI Pru Smart Kid New Unit Linked Regular Premium Rich Fund II 9.64 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Balancer II 13.48 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Flexi Balanced II 10.95 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Flexi Growth II 10.86 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Maximiser II 26.50 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Multiplier Fund II 8.41 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Preserver II 12.47 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Protector II 17.06 23-09-2008
ICICI Pru Smart Kid New Unit Linked Single Premium Rich Fund II 9.64 23-09-2008
ICICI Pru Smart Kid RP Balancer (Balanced) 25.97 23-09-2008
ICICI Pru Smart Kid RP Flexi Balanced 10.63 23-09-2008
ICICI Pru Smart Kid RP Flexi Growth 10.74 23-09-2008
ICICI Pru Smart Kid RP II Balancer (Balanced) II 17.06 23-09-2008
ICICI Pru Smart Kid RP II Flexi Balanced II 10.95 23-09-2008
ICICI Pru Smart Kid RP II Flexi Growth II 10.86 23-09-2008
ICICI Pru Smart Kid RP II Maximiser (Growth) II 26.50 23-09-2008
ICICI Pru Smart Kid RP II Multiplier Fund II 8.41 23-09-2008
ICICI Pru Smart Kid RP II Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru Smart Kid RP II Protector (Income) II 12.47 23-09-2008
ICICI Pru Smart Kid RP II Rich Fund II 9.64 23-09-2008
ICICI Pru Smart Kid RP Maximiser (Growth) 48.58 23-09-2008
ICICI Pru Smart Kid RP Preserver 13.48 23-09-2008
ICICI Pru Smart Kid RP Protector (Income) 16.55 23-09-2008
ICICI Pru Smart Kid SP Balancer (Balanced) 25.97 23-09-2008
ICICI Pru Smart Kid SP Flexi Balanced 10.63 23-09-2008
ICICI Pru Smart Kid SP Flexi Growth 10.74 23-09-2008
ICICI Pru Smart Kid SP II Balancer (Balanced) II 17.06 23-09-2008
ICICI Pru Smart Kid SP II Flexi Balanced II 10.95 23-09-2008
ICICI Pru Smart Kid SP II Flexi Growth II 10.86 23-09-2008
ICICI Pru Smart Kid SP II Maximiser (Growth) II 26.50 23-09-2008
ICICI Pru Smart Kid SP II Multiplier Fund II 8.41 23-09-2008
ICICI Pru Smart Kid SP II Preserver (Short Term) II 13.48 23-09-2008
ICICI Pru Smart Kid SP II Protector (Income) II 12.47 23-09-2008
ICICI Pru Smart Kid SP II Rich Fund II 9.64 23-09-2008
ICICI Pru Smart Kid SP Maximiser (Growth) 48.58 23-09-2008
ICICI Pru Smart Kid SP Preserver 13.48 23-09-2008
ICICI Pru Smart Kid SP Protector (Income) 16.55 23-09-2008

ING Vysya Life Insurance
Insurance Plans NAVs (Rs) Date

ING Vysya Life - Creating Star - Balanced Plan 14.89 22-09-2008
ING Vysya Life - Creating Star - Debt Plan 11.98 22-09-2008
ING Vysya Life - Creating Star - Equity Plan 13.11 22-09-2008
ING Vysya Life - Creating Star - Growth Plan 16.40 22-09-2008
ING Vysya Life - Creating Star - Secure Plan 13.53 22-09-2008
ING Vysya Life - Freedom Plan - Balanced Plan 14.89 22-09-2008
ING Vysya Life - Freedom Plan - Debt Plan 11.98 22-09-2008
ING Vysya Life - Freedom Plan - Equity Plan 13.11 22-09-2008
ING Vysya Life - Freedom Plan - Growth Plan 16.40 22-09-2008
ING Vysya Life - Freedom Plan - Secure Plan 13.53 22-09-2008
ING Vysya Life - Future Perfect - Balanced Plan 14.89 22-09-2008
ING Vysya Life - Future Perfect - Debt Plan 11.98 22-09-2008
ING Vysya Life - Future Perfect - Equity Plan 13.11 22-09-2008
ING Vysya Life - Future Perfect - Growth Plan 16.40 22-09-2008
ING Vysya Life - Future Perfect - Secure Plan 13.53 22-09-2008
ING Vysya Life - Guaranteed Growth Fund 9.20 22-09-2008
ING Vysya Life - High Life - Balanced Plan 14.89 22-09-2008
ING Vysya Life - High Life - Debt Plan 11.98 22-09-2008
ING Vysya Life - High Life - Equity Plan 13.11 22-09-2008
ING Vysya Life - High Life - Growth Plan 16.40 22-09-2008
ING Vysya Life - High Life - Secure Plan 13.53 22-09-2008
ING Vysya Life - High Life Plus - Balanced Plan 14.89 22-09-2008
ING Vysya Life - High Life Plus - Debt Plan 11.98 22-09-2008
ING Vysya Life - High Life Plus - Equity Plan 13.11 22-09-2008
ING Vysya Life - High Life Plus - Growth Plan 16.40 22-09-2008
ING Vysya Life - High Life Plus - Secure Plan 13.53 22-09-2008
ING Vysya Life - ING Golden Life - Pension Debt 10.33 22-09-2008
ING Vysya Life - ING Golden Life - Pension Equity 8.56 22-09-2008
ING Vysya Life - ING Golden Life - Pension Liquid 10.49 22-09-2008
ING Vysya Life - Life Plus - Balanced Plan 14.89 22-09-2008
ING Vysya Life - Life Plus - Debt Plan 11.98 22-09-2008
ING Vysya Life - Life Plus - Equity Plan 13.11 22-09-2008
ING Vysya Life - Life Plus - Growth Plan 16.40 22-09-2008
ING Vysya Life - Life Plus - Secure Plan 13.53 22-09-2008
ING Vysya Life - New Freedom Plan - Balanced Plan 14.89 22-09-2008
ING Vysya Life - New Freedom Plan - Debt Plan 11.98 22-09-2008
ING Vysya Life - New Freedom Plan - Equity Plan 13.11 22-09-2008
ING Vysya Life - New Freedom Plan - Growth Plan 16.40 22-09-2008
ING Vysya Life - New Freedom Plan - Secure Plan 13.53 22-09-2008
ING Vysya Life - New Future Perfect - Balanced Plan 14.89 22-09-2008
ING Vysya Life - New Future Perfect - Debt Plan 11.98 22-09-2008
ING Vysya Life - New Future Perfect - Equity Plan 13.11 22-09-2008
ING Vysya Life - New Future Perfect - Growth Plan 16.40 22-09-2008
ING Vysya Life - New Future Perfect - Secure Plan 13.53 22-09-2008
ING Vysya Life - New One Life - Balanced Plan 14.89 22-09-2008
ING Vysya Life - New One Life - Debt Plan 11.98 22-09-2008
ING Vysya Life - New One Life - Equity Plan 13.11 22-09-2008
ING Vysya Life - New One Life - Growth Plan 16.40 22-09-2008
ING Vysya Life - New One Life - Secure Plan 13.53 22-09-2008
ING Vysya Life - One Life - Balanced Plan 16.60 28-01-2008
ING Vysya Life - One Life - Debt Plan 12.05 28-01-2008
ING Vysya Life - One Life - Equity Plan 17.32 28-01-2008
ING Vysya Life - One Life - Growth Plan 19.31 28-01-2008
ING Vysya Life - One Life - Secure Plan 14.30 28-01-2008
ING Vysya Life - One Life - Single Premium - Balanced Plan 14.89 22-09-2008
ING Vysya Life - One Life - Single Premium - Debt Plan 11.98 22-09-2008
ING Vysya Life - One Life - Single Premium - Equity Plan 13.11 22-09-2008
ING Vysya Life - One Life - Single Premium - Growth Plan 16.40 22-09-2008
ING Vysya Life - One Life - Single Premium - Secure Plan 13.53 22-09-2008
ING Vysya Life - Positive Life - Balanced Plan 14.89 22-09-2008
ING Vysya Life - Positive Life - Debt Plan 11.98 22-09-2008
ING Vysya Life - Positive Life - Equity Plan 13.11 22-09-2008
ING Vysya Life - Positive Life - Growth Plan 16.40 22-09-2008
ING Vysya Life - Positive Life - Secure Plan 13.53 22-09-2008

Kotak Mahindra Old Mutual Life Insurance
Insurance Plans NAVs (Rs) Date

Kotak Advantage Fund 10.82 23-09-2008
Kotak Advantage Multiplier Fund 10.55 23-09-2008
Kotak Advantage Plus Fund 10.52 23-09-2008
Kotak Easy Growth Plan - Aggressive Growth 24.74 23-09-2008
Kotak Easy Growth Plan - Dynamic Balanced 24.34 23-09-2008
Kotak Easy Growth Plan - Dynamic Bond 12.97 23-09-2008
Kotak Easy Growth Plan - Dynamic Floating Rate 12.73 23-09-2008
Kotak Easy Growth Plan - Dynamic Floor Fund 11.89 23-09-2008
Kotak Easy Growth Plan - Dynamic Gilt 12.84 23-09-2008
Kotak Easy Growth Plan - Dynamic Growth 28.28 23-09-2008
Kotak Flexi Plan Aggressive Growth 24.74 23-09-2008
Kotak Flexi Plan Dynamic Balanced 24.34 23-09-2008
Kotak Flexi Plan Dynamic Bond 12.97 23-09-2008
Kotak Flexi Plan Dynamic Floating Rate 12.73 23-09-2008
Kotak Flexi Plan Dynamic Gilt 12.84 23-09-2008
Kotak Flexi Plan Dynamic Growth 28.28 23-09-2008
Kotak Flexi Plan Dynamic Money Market 14.90 23-09-2008
Kotak Flexi Plan Guaranteed Balanced 23.55 23-09-2008
Kotak Flexi Plan Guaranteed Bond 12.98 23-09-2008
Kotak Flexi Plan Guaranteed Floating Rate 12.75 23-09-2008
Kotak Flexi Plan Guaranteed Gilt 12.89 23-09-2008
Kotak Flexi Plan Guaranteed Growth 28.06 23-09-2008
Kotak Flexi Plan Guaranteed Money Market 14.90 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Aggressive Growth 24.74 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Balanced 24.34 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Bond 12.97 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Floating Rate 12.73 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Floor Fund 11.89 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Gilt 12.84 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Growth 28.28 23-09-2008
Kotak Headstart Child Plans - Assure Wealth - Dynamic Money Market 14.90 23-09-2008
Kotak Headstart Child Plans - Future Protect - Aggressive Growth 24.74 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Balanced 24.34 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Bond 12.97 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Floating Rate 12.73 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Floor Fund 11.89 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Gilt 12.84 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Growth 28.28 23-09-2008
Kotak Headstart Child Plans - Future Protect - Dynamic Money Market 14.90 23-09-2008
Kotak Platnium Advantage Plan - Aggressive Growth 24.74 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Balanced 24.34 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Bond 12.97 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Floating Rate 12.73 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Floor Fund 11.89 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Gilt 12.84 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Growth 28.28 23-09-2008
Kotak Platnium Advantage Plan - Dynamic Money Market 14.90 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Balanced 23.55 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Bond 12.98 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Floating Rate 12.75 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Gilt 12.89 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Growth 28.06 23-09-2008
Kotak Platnium Advantage Plan - Guaranteed Money Market 14.90 23-09-2008
Kotak Privileged Assurance Plan Advantage Multiplier Fund II 10.56 23-09-2008
Kotak Privileged Assurance Plan Advantage Plus Fund II 10.57 23-09-2008
Kotak Retirement Income Plan - Pension Aggressive Growth 24.74 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Aggressive Growth 24.74 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Balanced 23.93 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Bond 12.94 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Floating Rate 12.80 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Gilt 13.10 23-09-2008
Kotak Retirement Income Plan - Unit Linked Single Premium Pension Money Market 14.90 23-09-2008
Kotak Retirement Income Plan Pension Balanced 23.93 23-09-2008
Kotak Retirement Income Plan Pension Bond 12.94 23-09-2008
Kotak Retirement Income Plan Pension Floating Rate 12.80 23-09-2008
Kotak Retirement Income Plan Pension Gilt 13.10 23-09-2008
Kotak Retirement Income Plan Pension Money Market 14.90 23-09-2008
Kotak Safe Investment Plan II Aggressive Growth 24.74 23-09-2008
Kotak Safe Investment Plan II Dynamic Balanced 24.34 23-09-2008
Kotak Safe Investment Plan II Dynamic Bond 12.97 23-09-2008
Kotak Safe Investment Plan II Dynamic Floating Rate 12.73 23-09-2008
Kotak Safe Investment Plan II Dynamic Gilt 12.84 23-09-2008
Kotak Safe Investment Plan II Dynamic Growth 28.28 23-09-2008
Kotak Safe Investment Plan II Dynamic Money Market 14.90 23-09-2008
Kotak Safe Investment Plan II Guaranteed Balanced 23.55 23-09-2008
Kotak Safe Investment Plan II Guaranteed Bond 12.98 23-09-2008
Kotak Safe Investment Plan II Guaranteed Floating Rate 12.75 23-09-2008
Kotak Safe Investment Plan II Guaranteed Gilt 12.89 23-09-2008
Kotak Safe Investment Plan II Guaranteed Growth 28.06 23-09-2008
Kotak Safe Investment Plan II Guaranteed Money Market 14.90 23-09-2008
Kotak Smart Advantage - Dynamic Bond Fund 12.97 23-09-2008
Kotak Smart Advantage - Dynamic Floor Fund 11.89 23-09-2008

Life Insurance Corporation of India
Insurance Plans NAVs (Rs) Date

LIC Bima Plus Balanced Fund 29.01 23-09-2008
LIC Bima Plus Risk Fund 38.86 23-09-2008
LIC Bima Plus Secured Fund 24.11 23-09-2008
LIC Fortune Plus Balanced Fund 8.89 23-09-2008
LIC Fortune Plus Bond Fund 10.57 23-09-2008
LIC Fortune Plus Growth Fund 8.93 23-09-2008
LIC Fortune Plus Secured Fund 9.37 23-09-2008
LIC Future Plus Balanced Fund 13.69 23-09-2008
LIC Future Plus Bond Fund 11.80 23-09-2008
LIC Future Plus Growth Fund 16.80 23-09-2008
LIC Future Plus Income Fund 13.45 23-09-2008
LIC Gratuity Plus Balanced Fund 10.64 23-09-2008
LIC Gratuity Plus Bond Fund 11.09 23-09-2008
LIC Gratuity Plus Growth Fund 10.71 23-09-2008
LIC Gratuity Plus Income Fund 11.40 23-09-2008
LIC Health Plus Fund 9.89 23-09-2008
LIC Jeevan Plus Balanced Fund 11.89 23-09-2008
LIC Jeevan Plus Bond Fund 11.23 23-09-2008
LIC Jeevan Plus Growth Fund 15.54 23-09-2008
LIC Jeevan Plus Secured Fund 11.87 23-09-2008
LIC Market Plus Balanced Fund 11.20 23-09-2008
LIC Market Plus Bond Fund 12.11 23-09-2008
LIC Market Plus Growth Fund 11.23 23-09-2008
LIC Market Plus Secured Fund 11.28 23-09-2008
LIC Market Plus-I Balanced Fund 9.98 23-09-2008
LIC Market Plus-I Bond Fund 10.31 23-09-2008
LIC Market Plus-I Growth Fund 10.08 23-09-2008
LIC Market Plus-I Secured Fund 9.98 23-09-2008
LIC Money Plus Balanced Fund 10.34 23-09-2008
LIC Money Plus Bond Fund 10.87 23-09-2008
LIC Money Plus Growth Fund 9.61 23-09-2008
LIC Money Plus Secured Fund 10.73 23-09-2008
LIC Money Plus-I Balanced Fund 10.27 23-09-2008
LIC Money Plus-I Bond Fund 10.47 23-09-2008
LIC Money Plus-I Gowth Fund 10.04 23-09-2008
LIC Money Plus-I Secured Fund 10.39 23-09-2008
LIC Profit Plus Balanced Fund 9.11 23-09-2008
LIC Profit Plus Bond Fund 10.46 23-09-2008
LIC Profit Plus Growth Fund 8.82 23-09-2008
LIC Profit Plus Secured Fund 8.83 23-09-2008

Max New York Life
Insurance Plans NAVs (Rs) Date

Max Amsure Secure Returns Builder - Balanced Fund 16.70 23-09-2008
Max Amsure Secure Returns Builder - Growth Fund 21.33 23-09-2008
Max Amsure Secure Returns Builder - Guaranteed Dynamic Fund 11.37 23-09-2008
Max Amsure Secure Returns Builder - Guaranteed Income Fund 11.02 23-09-2008
Max New York - Capital Builder - Balanced Fund 16.70 23-09-2008
Max New York - Capital Builder - Growth Super Fund 10.23 23-09-2008
Max New York - Capital Builder - High Growth Fund 8.67 23-09-2008
Max New York - Capital Builder - Secure Fund 12.32 23-09-2008
Max New York - Life Invest - Balanced Fund 16.70 23-09-2008
Max New York - Life Invest - Conservative Fund 14.24 23-09-2008
Max New York - Life Invest - Growth Fund 21.33 23-09-2008
Max New York - Life Invest - Secure Fund 12.32 23-09-2008
Max New York - Life Maker Gold - Balanced Fund 16.70 23-09-2008
Max New York - Life Maker Gold - Conservative Fund 14.24 23-09-2008
Max New York - Life Maker Gold - Growth Fund 21.33 23-09-2008
Max New York - Life Maker Gold - Secure Fund 12.32 23-09-2008
Max New York - Life Maker Investment Plan - Balanced Fund 16.70 23-09-2008
Max New York - Life Maker Investment Plan - Conservative Fund 14.24 23-09-2008
Max New York - Life Maker Investment Plan - Growth Fund 21.33 23-09-2008
Max New York - Life Maker Investment Plan - Secure Fund 12.32 23-09-2008
Max New York - Life Maker Pension Plan - Balanced Fund 12.31 23-09-2008
Max New York - Life Maker Pension Plan - Conservative Fund 11.78 23-09-2008
Max New York - Life Maker Pension Plan - Growth Fund 12.81 23-09-2008
Max New York - Life Maker Pension Plan - Growth Super Fund 6.95 23-09-2008
Max New York - Life Maker Pension Plan - Secure Fund 11.51 23-09-2008
Max New York - Life Maker Platinum - Balanced Fund 16.70 23-09-2008
Max New York - Life Maker Platinum - Conservative Fund 14.24 23-09-2008
Max New York - Life Maker Platinum - Growth Fund 21.33 23-09-2008
Max New York - Life Maker Platinum - Secure Fund 12.32 23-09-2008
Max New York - Life Maker Premium - Balanced Fund 16.70 23-09-2008
Max New York - Life Maker Premium - Conservative Fund 14.24 23-09-2008
Max New York - Life Maker Premium - Growth Fund 21.33 23-09-2008
Max New York - Life Maker Premium - Growth Super Fund 10.23 23-09-2008
Max New York - Life Maker Premium - Secure Fund 12.32 23-09-2008
Max New York - SMART Assure - Balanced Fund 16.70 23-09-2008
Max New York - SMART Assure - Conservative Fund 14.24 23-09-2008
Max New York - SMART Assure - Dynamic Opportunities Fund 9.73 23-09-2008
Max New York - SMART Assure - Growth Fund 21.33 23-09-2008
Max New York - SMART Assure - Growth Super Fund 10.23 23-09-2008
Max New York - SMART Assure - Secure Fund 12.32 23-09-2008
Max New York - SMART Invest Pension - Balanced Fund 12.31 23-09-2008
Max New York - SMART Invest Pension - Conservative Fund 11.78 23-09-2008
Max New York - SMART Invest Pension - Growth Fund 12.81 23-09-2008
Max New York - SMART Invest Pension - Growth Super Fund 6.95 23-09-2008
Max New York - SMART Invest Pension - Secure Fund 11.51 23-09-2008
Max New York - SMART Steps - Secure Fund 12.32 23-09-2008
Max New York - SMART Steps - Balanced Fund 16.70 23-09-2008
Max New York - SMART Steps - Conservative Fund 14.24 23-09-2008
Max New York - SMART Steps - Growth Fund 21.33 23-09-2008
Max New York - SMART Steps - Growth Super Fund 10.23 23-09-2008

MetLife India Insurance
Insurance Plans NAVs (Rs) Date

MetLife - Met Advantage Plus - Regular Premium Pension Accelerator 17.92 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Balancer 15.33 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Moderator 13.11 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Multiplier 18.93 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Preserver 11.33 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Protector 11.47 23-09-2008
MetLife - Met Advantage Plus - Regular Premium Pension Virtue 8.34 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Accelerator 17.92 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Balancer 15.33 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Moderator 13.11 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Multiplier 18.93 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Preserver 11.33 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Protector 11.47 23-09-2008
MetLife - Met Advantage Plus - Single Premimum Pension Virtue 8.34 23-09-2008
MetLife - Met Easy Accelerator 17.92 23-09-2008
MetLife - Met Easy Balancer 15.33 23-09-2008
MetLife - Met Easy Moderator 13.11 23-09-2008
MetLife - Met Easy Multiplier 18.93 23-09-2008
MetLife - Met Easy Preserver 11.33 23-09-2008
MetLife - Met Easy Protector 11.47 23-09-2008
MetLife - Met Easy Virtue 8.34 23-09-2008
MetLife - Met Smart Gold - Accelerator 17.92 23-09-2008
MetLife - Met Smart Gold - Balancer 15.33 23-09-2008
MetLife - Met Smart Gold - Moderator 13.11 23-09-2008
MetLife - Met Smart Gold - Multiplier 18.93 23-09-2008
MetLife - Met Smart Gold - Preserver 11.33 23-09-2008
MetLife - Met Smart Gold - Protector 11.47 23-09-2008
MetLife - Met Smart Gold - Virtue 8.34 23-09-2008
MetLife - Met Smart Plus - Single Pay Accelerator 17.92 23-09-2008
MetLife - Met Smart Plus - Single Pay Balancer 15.33 23-09-2008
MetLife - Met Smart Plus - Single Pay Moderator 13.11 23-09-2008
MetLife - Met Smart Plus - Single Pay Multiplier 18.93 23-09-2008
MetLife - Met Smart Plus - Single Pay Preserver 11.33 23-09-2008
MetLife - Met Smart Plus - Single Pay Protector 11.47 23-09-2008
MetLife - Met Smart Plus - Single Pay Virtue 8.34 23-09-2008
MetLife - Met Smart Plus Accelerator 17.92 23-09-2008
MetLife - Met Smart Plus Balancer 15.33 23-09-2008
MetLife - Met Smart Plus Moderator 13.11 23-09-2008
MetLife - Met Smart Plus Multiplier 18.93 23-09-2008
MetLife - Met Smart Plus Preserver 11.33 23-09-2008
MetLife - Met Smart Plus Protector 11.47 23-09-2008
MetLife - Met Smart Plus Virtue 8.34 23-09-2008
MetLife - Met Smart Premier - Accelerator 17.92 23-09-2008
MetLife - Met Smart Premier - Balancer 15.33 23-09-2008
MetLife - Met Smart Premier - Moderator 13.11 23-09-2008
MetLife - Met Smart Premier - Multiplier 18.93 23-09-2008
MetLife - Met Smart Premier - Preserver 11.33 23-09-2008
MetLife - Met Smart Premier - Protector 11.47 23-09-2008
MetLife - Met Smart Premier - Single Pay Accelerator 17.92 23-09-2008
MetLife - Met Smart Premier - Single Pay Multiplier 18.93 23-09-2008
MetLife - Met Smart Premier - Single Pay Balancer 15.33 23-09-2008
MetLife - Met Smart Premier - Single Pay Moderator 13.11 23-09-2008
MetLife - Met Smart Premier - Single Pay Preserver 11.33 23-09-2008
MetLife - Met Smart Premier - Single Pay Protector 11.47 23-09-2008
MetLife - Met Smart Premier - Single Pay Virtue 8.34 23-09-2008
MetLife - Met Smart Premier - Virtue 8.34 23-09-2008

Reliance Life Insurance
Insurance Plans NAVs (Rs) Date

Reliance Automatic Investment Plan - Corporate Bond Fund 10.89 23-09-2008
Reliance Automatic Investment Plan - Equity Fund 8.82 23-09-2008
Reliance Automatic Investment Plan - Fund A 9.22 23-09-2008
Reliance Automatic Investment Plan - Fund B 9.93 23-09-2008
Reliance Automatic Investment Plan - Fund C 10.56 23-09-2008
Reliance Automatic Investment Plan - Gilt Fund 10.62 23-09-2008
Reliance Automatic Investment Plan - Money Market Fund 11.07 23-09-2008
Reliance Golden Years Plan - Balanced Fund 13.78 23-09-2008
Reliance Golden Years Plan - Capital Secure Fund 12.58 23-09-2008
Reliance Golden Years Plan - Equity Fund 10.37 23-09-2008
Reliance Golden Years Plan - Growth Fund 12.02 23-09-2008
Reliance Golden Years Plan Plus - Balanced Fund 13.78 23-09-2008
Reliance Golden Years Plan Plus - Capital Secure Fund 12.58 23-09-2008
Reliance Golden Years Plan Plus - Equity Fund 10.37 23-09-2008
Reliance Golden Years Plan Plus - Growth Fund 12.02 23-09-2008
Reliance Golden Years Plan Value - Balanced Fund 13.78 23-09-2008
Reliance Golden Years Plan Value - Capital Secure Fund 12.58 23-09-2008
Reliance Golden Years Plan Value - Equity Fund 10.37 23-09-2008
Reliance Golden Years Plan Value - Growth Fund 12.02 23-09-2008
Reliance Market Return Plan - Balanced Fund 13.77 23-09-2008
Reliance Market Return Plan - Capital Secure Fund 12.54 23-09-2008
Reliance Market Return Plan - Equity Fund 20.86 23-09-2008
Reliance Market Return Plan - Growth Fund 15.07 23-09-2008
Reliance Money Guarantee Plan - Fund D 10.66 23-09-2008
Reliance Money Guarantee Plan - Fund E 10.54 23-09-2008
Reliance Money Guarantee Plan - Fund F 10.55 23-09-2008
Reliance Money Guarantee Plan - Return Shield Fund 10.86 23-09-2008
Reliance Secure Child Plan - Equity Fund 10.25 23-09-2008
Reliance Secure Child Plan - Fund G 9.58 23-09-2008
Reliance Secure Child Plan - Fund H 8.75 23-09-2008
Reliance Secure Child Plan - Return Shield Fund 6.73 23-09-2008
Reliance Super InvestAsure Plan - Corporate Bond Fund 10.01 23-09-2008
Reliance Super InvestAsure Plan - Energy Fund 9.85 23-09-2008
Reliance Super InvestAsure Plan - Equity Fund 9.12 23-09-2008
Reliance Super InvestAsure Plan - Gilt Fund 10.13 23-09-2008
Reliance Super InvestAsure Plan - Infrastructure Fund 9.15 23-09-2008
Reliance Super InvestAsure Plan - Midcap Fund 8.48 23-09-2008
Reliance Super InvestAsure Plan - Money Market Fund 10.24 23-09-2008
Reliance Super InvestAsure Plan - Pure Equity Fund 10.03 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Corporate Bond Fund 10.13 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Energy Fund 9.36 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Equity Fund 9.10 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Gilt Fund 10.09 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Infrastructure Fund 8.71 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Midcap Fund 8.84 23-09-2008
Reliance Total Investment Plan Series I - Insurance - Money Market Fund 10.42 23-09-2008
Reliance Total Investment Plan Series II - Pension - Corporate Bond Fund 10.13 23-09-2008
Reliance Total Investment Plan Series II - Pension - Energy Fund 9.36 23-09-2008
Reliance Total Investment Plan Series II - Pension - Equity Fund 9.09 23-09-2008
Reliance Total Investment Plan Series II - Pension - Gilt Fund 10.10 23-09-2008
Reliance Total Investment Plan Series II - Pension - Infrastructure Fund 8.70 23-09-2008
Reliance Total Investment Plan Series II - Pension - Midcap Fund 8.85 23-09-2008
Reliance Total Investment Plan Series II - Pension - Money Market Fund 10.41 23-09-2008
Reliance Wealth + Health Plan - Corporate Bond Fund 10.20 23-09-2008
Reliance Wealth + Health Plan - Equity Fund 7.32 23-09-2008
Reliance Wealth + Health Plan - Fund A 7.85 23-09-2008
Reliance Wealth + Health Plan - Fund B 8.72 23-09-2008
Reliance Wealth + Health Plan - Gilt Fund 10.14 23-09-2008
Reliance Wealth + Health Plan - Money Market Fund 10.46 23-09-2008

Sahara India Life Insurance
Insurance Plans NAVs (Rs) Date

Sahara Ankur - Regular Premium - Balanced Fund 13.86 23-09-2008
Sahara Ankur - Regular Premium - Growth Fund 12.14 23-09-2008
Sahara Ankur - Regular Premium - Secured Fund 11.55 23-09-2008
Sahara Ankur - Single Premium - Balanced Fund 13.86 23-09-2008
Sahara Ankur - Single Premium - Growth Fund 12.14 23-09-2008
Sahara Ankur - Single Premium - Secured Fund 11.55 23-09-2008
Sahara Sanchay R - Regular Premium - Balanced Fund 13.86 23-09-2008
Sahara Sanchay R - Regular Premium - Growth Fund 12.14 23-09-2008
Sahara Sanchay R - Regular Premium - Secured Fund 11.55 23-09-2008
Sahara Sanchay R - Single Premium - Balanced Fund 13.86 23-09-2008
Sahara Sanchay R - Single Premium - Growth Fund 12.14 23-09-2008
Sahara Sanchay R - Single Premium - Secured Fund 11.55 23-09-2008
Sahara Swabhimaan - Balanced Fund 13.86 23-09-2008
Sahara Swabhimaan - Growth Fund 12.14 23-09-2008
Sahara Swabhimaan - Secured Fund 11.55 23-09-2008

SBI Life Insurance
Insurance Plans NAVs (Rs) Date

SBI Life - Saral ULIP Plan - Balanced Fund 14.46 23-09-2008
SBI Life - Saral ULIP Plan - Growth Fund 16.97 23-09-2008
SBI Life - Unit Plus Elite - Balanced Fund 14.46 23-09-2008
SBI Life - Unit Plus Elite - Bond Fund 12.98 23-09-2008
SBI Life - Unit Plus Elite - Equity Elite Fund 9.82 23-09-2008
SBI Life - Unit Plus Elite - Growth Fund 16.97 23-09-2008
SBI Life - Child Plan Balanced Fund 14.46 23-09-2008
SBI Life - Child Plan Bond Fund 12.98 23-09-2008
SBI Life - Child Plan Equity Fund 26.78 23-09-2008
SBI Life - Child Plan Equity Optimiser Fund 8.50 23-09-2008
SBI Life - Child Plan Growth Fund 16.97 23-09-2008
SBI Life - Horizon Bond Fund 12.98 23-09-2008
SBI Life - Horizon Equity Fund 26.78 23-09-2008
SBI Life - Horizon II Bond Fund 12.98 23-09-2008
SBI Life - Horizon II Bond Pension Fund 11.47 23-09-2008
SBI Life - Horizon II Equity Fund 26.78 23-09-2008
SBI Life - Horizon II Equity Pension Fund 10.19 23-09-2008
SBI Life - Horizon II Money Market Fund 11.73 23-09-2008
SBI Life - Horizon II Money Market Pension Fund 10.35 23-09-2008
SBI Life - Horizon Money Market Fund 11.73 23-09-2008
SBI Life - Unit Plus Balanced Fund 14.46 23-09-2008
SBI Life - Unit Plus Bond Fund 12.98 23-09-2008
SBI Life - Unit Plus Equity fund 26.78 23-09-2008
SBI Life - Unit Plus Growth fund 16.97 23-09-2008
SBI Life - Unit Plus II Balanced Fund 14.46 23-09-2008
SBI Life - Unit Plus II Balanced Pension Fund 12.96 23-09-2008
SBI Life - Unit Plus II Bond Fund 12.98 23-09-2008
SBI Life - Unit Plus II Bond Pension Fund 11.47 23-09-2008
SBI Life - Unit Plus II Equity Fund 26.78 23-09-2008
SBI Life - Unit Plus II Equity Optimizer Fund 8.50 23-09-2008
SBI Life - Unit Plus II Equity Optimizer Pension Fund 8.50 23-09-2008
SBI Life - Unit Plus II Equity Pension Fund 10.19 23-09-2008
SBI Life - Unit Plus II Growth Fund 16.97 23-09-2008
SBI Life - Unit Plus II Growth Pension Fund 11.46 23-09-2008

Shriram Life Insurance
Insurance Plans NAVs (Rs) Date

Shriram Life - Conservator Premium 10.24 23-09-2008
Shriram Life - Shri Plus (SP) Conservator - Debt Fund 11.32 23-09-2008
Shriram Life - Shri Plus (SP) Guardian - Balanced Fund 12.07 23-09-2008
Shriram Life - Shri Plus (SP) Maximus - Equity Fund 12.34 23-09-2008
Shriram Life - Shri Plus Conservator - Debt Fund 11.32 23-09-2008
Shriram Life - Shri Plus Guardian - Balanced Fund 12.07 23-09-2008
Shriram Life - Shri Plus Maximus - Equity Fund 12.34 23-09-2008
Shriram Life - Shri Vidya Plus - Conservator Gold 10.03 23-09-2008
Shriram Life - Shri Vidya Plus - Maximus Gold 10.26 23-09-2008
Shriram Life - Shri Vikash - Protector Fund 9.99 23-09-2008
Shriram Life - Shri Vikash - Wealth Creator 7.68 23-09-2008
Shriram Life - Shri Vishram Conservator - Debt Fund 11.32 23-09-2008
Shriram Life - Shri Vishram Dynamic Fund 9.95 23-09-2008
Shriram Life - Shri Vishram Guardian - Balanced Fund 12.07 23-09-2008
Shriram Life - Shri Vishram Maximus - Equity Fund 12.34 23-09-2008

TATA AIG Insurance
Insurance Plans NAVs (Rs) Date

Tata AIG Life Capital Guarantee Fund 10.09 23-09-2008
Tata AIG Life Future Balanced Pension Fund 10.12 23-09-2008
Tata AIG Life Future Capital Guarantee Pension Fund 10.05 23-09-2008
Tata AIG Life Future Equity Pension Fund 8.75 23-09-2008
Tata AIG Life Future Growth Pension Fund 9.68 23-09-2008
Tata AIG Life Future Income Pension Fund 10.02 23-09-2008
Tata AIG Life Growth Enabler Fund 9.23 23-09-2008
Tata AIG Life Growth Maximizer Fund 7.66 23-09-2008
Tata AIG Life InvestAssure Care - Capital Guarantee Fund 10.09 23-09-2008
Tata AIG Life InvestAssure Care - Growth Enabler Fund 9.23 23-09-2008
Tata AIG Life InvestAssure Care - Growth Maximizer Fund 7.66 23-09-2008
Tata AIG Life InvestAssure Care - Short Term Fixed Income Fund 11.07 23-09-2008
Tata AIG Life InvestAssure Extra - Capital Guarantee Fund 10.09 23-09-2008
Tata AIG Life InvestAssure Extra - Growth Enabler Fund 9.23 23-09-2008
Tata AIG Life InvestAssure Extra - Growth Maximiser Fund 7.66 23-09-2008
Tata AIG Life InvestAssure Extra - Short Term Fixed Income Fund 11.07 23-09-2008
Tata AIG Life InvestAssure Flexi - Capital Guarantee Fund 10.09 23-09-2008
Tata AIG Life InvestAssure Flexi - Large Cap Equity Fund 7.91 23-09-2008
Tata AIG Life InvestAssure Flexi - Whole Life Aggressive Growth Fund 10.54 23-09-2008
Tata AIG Life InvestAssure Flexi - Whole Life Income Fund 10.37 23-09-2008
Tata AIG Life InvestAssure Flexi - Whole Life Mid-cap Equity Fund 9.64 23-09-2008
Tata AIG Life InvestAssure Flexi - Whole Life Short-Term Fixed Income Fund 10.52 23-09-2008
Tata AIG Life InvestAssure Flexi - Whole Life Stable Growth Fund 10.07 23-09-2008
Tata AIG Life InvestAssure Gold - Whole Life Aggressive Growth Fund 10.54 23-09-2008
Tata AIG Life InvestAssure Gold - Whole Life Income Fund 10.37 23-09-2008
Tata AIG Life InvestAssure Gold - Whole Life Midcap Equity Fund 9.64 23-09-2008
Tata AIG Life InvestAssure Gold - Whole Life Short Term Fixed Income Fund 10.52 23-09-2008
Tata AIG Life InvestAssure Gold - Whole Life Stable Growth Fund 10.07 23-09-2008
Tata AIG Life InvestAssure II - Aggressive Growth Fund 11.71 23-09-2008
Tata AIG Life InvestAssure II - Balanced Fund 16.48 23-09-2008
Tata AIG Life InvestAssure II - Equity Fund 24.91 23-09-2008
Tata AIG Life InvestAssure II - Growth Fund 19.86 23-09-2008
Tata AIG Life InvestAssure II - Income Fund 11.34 23-09-2008
Tata AIG Life InvestAssure II - Liquid Fund 12.67 23-09-2008
Tata AIG Life InvestAssure II - Short Term Fixed Income Fund 11.07 23-09-2008
Tata AIG Life InvestAssure II - Stable Growth Fund 11.68 23-09-2008
Tata AIG Life InvestAssure Plus - Aggressive Growth Fund 11.71 23-09-2008
Tata AIG Life InvestAssure Plus - Balanced Fund 16.48 23-09-2008
Tata AIG Life InvestAssure Plus - Equity Fund 24.91 23-09-2008
Tata AIG Life InvestAssure Plus - Growth Fund 19.86 23-09-2008
Tata AIG Life InvestAssure Plus - Income Fund 11.34 23-09-2008
Tata AIG Life InvestAssure Plus - Liquid Fund 12.67 23-09-2008
Tata AIG Life InvestAssure Plus - Short Term Fixed Income Fund 11.07 23-09-2008
Tata AIG Life InvestAssure Plus - Stable Growth Fund 11.68 23-09-2008
Tata AIG Life Large Cap Equity Fund - Life 7.91 23-09-2008

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Annamalai University Results 2008

Annamalai University
Results 2008
annamalaiuniversity.ac.in
Annamalai University is a unitary, teaching and residential university located at Chidambaram, Tamil Nadu South India. It has nine faculties and fourty five ...
http://www.annamalaiuniversity.ac.in/




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what is sun outage?

what is sun outage?

A sun outage is an interruption in or distortion of geostationary satellite signals caused by interference from solar radiation. The effect is due to the sun’s radiation overwhelming the satellite signal. Generally, sun outages occur in February, March, September and October, that is, around the time of the equinoxes. At these times, the apparent path

Sun Outage Calculator

Sun Outage
sun outage is an interruption in or distortion of geostationary satellite signals caused by interference from solar radiation.
The effect is due to the sun's radiation overwhelming the satellite signal.
Sun Outage Calculator

Indian Space Research Organization (ISRO) has informed us that there would be SUN OUTAGE from September 25, 2006 to October 09, 2006
Sun outage is similar in behavior to a rain fade. The high energy level and broadband nature of the sun's energy can overpower a satellite's downlink .

Tuesday, September 23, 2008

News....

From the News...
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  • India says Pakistan helping Kashmir militants cross border
  • Skydivers set for new heights over Everest
  • 'Hari Puttar' freed from Harry Potter spell by court
  • Australia banking on Chappell's experience, says Lee
  • Pakistani spies hear al Qaeda celebrating blast










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Monday, September 22, 2008

Samastha results 2008

Samastha results 2008

The Samastha Kerala Islam Matha Vidyabhyasa Board (SKIMVB) will announce the results of its public examinations on Wednesday.

www.samastha.net/

Greater Noida LK Choudhury

LK Choudhury, the managing director of a company in Greater Noida was beaten to death


Graziano, the electronics company attacked today has nearly 600 employees. It is a large Italian multinational, LK Choudhury who died at work had been the managing director for 10 years.


The managing director of a company in Greater Noida, just outside Delhi, was beaten to death on Monday by workers, who were fired two months ago. Another 34 people, all from the company's management have been injured in the riots that took place inside the office building. This is what was left after a 30-minute riot at this huge multinational office in Greater Noida. The trouble began at 12.30 pm when 200 workers arrived outside the office behind me. They were invited in by Human Resources managers. Seventy workers went into the office and began attacking the management. The MD arrived to help control the situation. The workers attacked the MD for 30 minutes with sticks. They hit him repeatedly on his head. Doctors say he died of those injuries. At the hospital, his wife, a college lecturer and son a class 12 student are surrounded by evidence of the sort of fury he was subjected to. The police is unable to explain how the 25 guards at the company were unable to control the rioting workers. At least 250 workers were sitting outside. As soon as the gate was opened, they barged in and the guards who were present at that time started running here and there. By the time the guards gathered together, they had already done the damage.

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