| 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 |
*Source : www.metlife.co.in
| 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 |
*Source : www.metlife.co.in