Metlife NAVs

MetLife_Pic3

Metlife Fund NAVs
Fund Name  NAV Date
Accelerator Fund 21.2186 31/05/2012
Balancer Fund 19.3425 31/05/2012
Moderator Fund 17.3182 31/05/2012
Multiplier Fund 21.4420 31/05/2012
 

MetLifeLogo

 

 

 

*Source : www.metlife.co.in


Leave a Reply

Fill in your details below or click an icon to log in:

WordPress.com Logo

You are commenting using your WordPress.com account. Log Out / Change )

Twitter picture

You are commenting using your Twitter account. Log Out / Change )

Facebook photo

You are commenting using your Facebook account. Log Out / Change )

Connecting to %s

Follow

Get every new post delivered to your Inbox.