Thursday, September 25, 2008

***_NAV'S AS ON DATE 24.09.2008_BIMA PLUS (140)....

BIMA PLUS (140)
SECURED FUND
10
23.8054
22.6152
23.8054
BALANCED FUND
10
28.5610
27.1329
28.5610
RISK FUND
10
38.1339
36.2272
38.1339

***_NAV'S AS ON DATE 24.09.2008_HEALTH PLUS (901).....

HEALTH PLUS (901)
HEALTH PLUS FUND
10
9.8515
9.8515
9.8515

***_NAV'S AS ON DATE 24.09.2008 MONEY PLUS (180) ......

MONEY PLUS (180)
BOND FUND
10
10.8467
10.8467
10.8467
SECURED FUND
10
10.6915
10.6915
10.6915
BALANCED FUND
10
10.3138
10.3138
10.3138
GROWTH FUND
10
9.5117
9.5117
9.5117

***_NAV'S AS ON DATE 24.09.2008_MARKET PLUS (181)......

MARKET PLUS (181)
BOND FUND
10
12.1002
12.1002
12.1002
SECURED FUND
10
11.2240
11.2240
11.2240
BALANCED FUND
10
11.1174
11.1174
11.1174
GROWTH FUND
10
11.1395
11.1395
11.1395

***_NAV'S AS ON DATE 24.09.2008 FUTURE PLUS (172)...

FUTURE PLUS (172)
BOND FUND
10
11.7810
11.7810
11.7810
INCOME FUND
10
13.3893
13.3893
13.3893
BALANCED FUND
10
13.5868
13.5868
13.5868
GROWTH FUND
10
16.6816
16.6816
16.6816

Wednesday, September 24, 2008

NAV OF FUTURE PLUS (172)

FUTURE PLUS (172)



BOND FUND
10
11.7298
11.7298
11.7298

INCOME FUND
10
13.3868
13.3868
13.3868

BALANCED FUND
10
13.5806
13.5806
13.5806

GROWTH FUND
10
16.6176
16.6176
16.6176

Monday, September 22, 2008

***_NAV'S AS ON DATE 20.09.2008 FUTURE PLUS (172)...

FUTURE PLUS (172)
BOND FUND
10
11.7992
11.7992
11.7992
INCOME FUND
10
13.4511
13.4511
13.4511
BALANCED FUND
10
13.6935
13.6935
13.6935
GROWTH FUND
10
16.8507
16.8507
16.8507

Friday, September 19, 2008

***_NAV'S AS ON DATE 18.09.2008 MONEY PLUS (180) ......

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

BOND FUND

10

10.9848

10.9848

10.9848

SECURED FUND

10

10.7142

10.7142

10.7142

BALANCED FUND

10

10.2862

10.2862

10.2862

GROWTH FUND

10

9.3780

9.3780

9.3780

***_NAV'S AS ON DATE 18.09.2008_MARKET PLUS (181)......

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006

BOND FUND

10

12.2154

12.2154

12.2154

SECURED FUND

10

11.2627

11.2627

11.2627

BALANCED FUND

10

11.0833

11.0833

11.0833

GROWTH FUND

10

10.9954

10.9954

10.9954

***_NAV'S AS ON DATE 18.09.2008 FUTURE PLUS (172)...

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005

BOND FUND

10

11.8812

11.8812

11.8812

INCOME FUND

10

13.4480

13.4480

13.4480

BALANCED FUND

10

13.6142

13.6142

13.6142

GROWTH FUND

10

16.5616

16.5616

16.5616

Monday, September 15, 2008

***_NAV'S AS ON DATE 13.09.2008 MARKET PLUS (181)......

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006

BOND FUND

10

12.1237

12.1237

12.1237

SECURED FUND

10

11.3803

11.3803

11.3803

BALANCED FUND

10

11.2067

11.2067

11.2067

GROWTH FUND

10

11.2633

11.2633

11.2633

Sunday, September 14, 2008

***_NAV'S AS ON DATE 13.09.2008 FUTURE PLUS (172)...

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005

BOND FUND

10

11.7280

11.7280

11.7280

INCOME FUND

10

13.4465

13.4465

13.4465

BALANCED FUND

10

13.7294

13.7294

13.7294

GROWTH FUND

10

16.9356

16.9356

16.9356

***_NAV'S AS ON DATE 13.09.2008 MONEY PLUS (180) ......

MONEY PLUS (180) NAV'S AS ON DATE 13.09.2008

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

BOND FUND

10

10.9102

10.9102

10.9102

SECURED FUND

10

10.7844

10.7844

10.7844

BALANCED FUND

10

10.3876

10.3876

10.3876

GROWTH FUND

10

9.6264

9.6264

9.6264

Friday, September 12, 2008

***---MONEY PLUS (180)__NAV'S AS ON DATE 12.09.2008

MONEY PLUS (180) NAV'S AS ON DATE 12.09.2008
DATE OF LAUNCH20.12.2006

BOND FUND
10
10.8399
10.8399
10.8399
SECURED FUND
10
10.7567
10.7567
10.7567
BALANCED FUND
10
10.3623
10.3623
10.3623
GROWTH FUND
10
9.6191
9.6191
9.6191

***---NAV'S AS ON DATE 12.09.2008_FUTURE PLUS (172)

FUTURE PLUS (172) NAV'S AS ON DATE 12.09.2008
DATE OF LAUNCH04.03.2005

BOND FUND
10
11.7247
11.7247
11.7247
INCOME FUND
10
13.4078
13.4078
13.4078
BALANCED FUND
10
13.6932
13.6932
13.6932
GROWTH FUND

10
16.9231
16.9231
16.9231

***_NAV'S AS ON DATE 11.09.2008_HEALTH PLUS (901).....

HEALTH PLUS (901) NAV'S AS ON DATE 11.09.2008
DATE OF LAUNCH 04.02.2008

HEALTH PLUS FUND
10
9.8757
9.8757
9.8757

***---NAV'S AS ON DATE 11.09.2008_MONEY PLUS - I (193)

MONEY PLUS - I (193)
DATE OF LAUNCH 22.05.2008

BOND FUND
10
10.4533
10.4533
10.4533
SECURED FUND
10
10.4035
10.4035
10.4035
BALANCED FUND
10
10.3103
10.3103
10.3103
GROWTH FUND
10
10.0980
10.0980
10.0980

***---NAV'S AS ON DATE 11.09.2008_MONEY PLUS (180)

MONEY PLUS (180) NAV'S AS ON DATE 11.09.2008
DATE OF LAUNCH20.12.2006

BOND FUND
10
10.8786
10.8786
10.8786
SECURED FUND
10
10.7890
10.7890
10.7890
BALANCED FUND
10
10.3988
10.3988
10.3988
GROWTH FUND
10
9.6907
9.6907
9.6907

***---NAV'S AS ON DATE 11.09.2008_FUTURE PLUS (172)

FUTURE PLUS (172) NAV'S AS ON DATE 11.09.2008
DATE OF LAUNCH 04.03.2005

BOND FUND
10
11.7670
11.7670
11.7670
INCOME FUND
10
13.4460
13.4460
13.4460
BALANCED FUND
10
13.7531
13.7531
13.7531
GROWTH FUND
10
17.0200
17.0200
17.0200