
The Union Budget for FY 2026-27 serves as a strategic blueprint for India’s transition into a developed nation ("Viksit Bharat") by 2047. By balancing a...
IN THIS POLICY, THE INVESTMENT RISK IN INVESTMENT PORTFOLIO IS BORNE BY THE POLICYHOLDER
Dynamic Asset Allocation Fund(ULIF08617/01/23DYNASALLOC116)
The investment objective of this fund will be to realize a steady stream of current income and as well as generate capital appreciation with appropriate risk and return expectations of the asset classes. The investment strategy would involve a flexible asset allocation among fixed income and equity securities based on the outlook for each of these asset classes.
Sep 25, 2023
Launch Date
6.94%
Fund Return (CAGR)
₹70.7 Cr
AUM (As on Jul 2026)
₹12.1
NAV (As on Aug 26 2026)
High
Risk Meter
Zero
Fund Switch Fee
I want to Invest
Holdings
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