Credit Quality / Interest Rate Sensitivity. Bajaj Allianz Life - Asset Allocation Fund. Avg Credit Quality. CRISIL Hybrid 35+65 - Agg TR INR. Reproduction of news articles, photos, videos or any other content in whole or in part in any form or medium without express writtern permission of moneycontrol.com is prohibited. Asset Allocation Fund II The investment objective of this fund will be to realize a level of total income, including current income and capital appreciation, which is consistent with reasonable investment risk. Powerful mix of both trader and investor packs with timely expert advice. Each top up premium has a lock in of 5 years. Bajaj Allianz - New UnitGain Asset Allocation Fund: Get the Latest NAV Value, Performance and Returns of Bajaj Allianz - New UnitGain Asset Allocation Fund. Government. Large Blend. Reproduction of news articles, photos, videos or any other content in whole or in part in any form Pure Stock Fund II, 5. Bajaj Allianz ULIP Asset Allocation Fund II is an Insurance Linked Product incorporated in India. Index. Avg Credit Quality. Liquid Fund. Bajaj Allianz Life - Bond Fund. Top-up - Unlimited Top Up is allowed except in the last 5 years of the policy. AAA. For all investors looking to unearth stocks that are poised to move. The value and income derived from investments may go down as well as up Risk Factors and Warning Statements: Bajaj Allianz Life Insurance Company Limited and Bajaj Allianz Life Goal Assure are the names of the company and the product respectively and do not in any way indicate the quality of the product and its future prospects or returns. Equity Growth Fund II, 2. Accelerator Mid-Cap Fund III; Pure Stock Fund; Asset Allocation Fund; Equity Index Fund III; Bond Fund; Liquid Fund . However it is to be reiterated that past performance of the funds are not indicative of future performance. Mid-Cap 37.4078 29/12/2020 Bajaj Allianz Life - … Category. Touch device users, explore by touch or with swipe gestures. NAV / 1-Day Return. When autocomplete results are available use up and down arrows to review and enter to select. Group BlueChip Fund 1.20% Group Asset Allocation Fund II 1.20% Group Balanced Gain Fund II 1.20% Stable Gain Fund 1.20% Secure Gain Fund 1.20% Group Short Term Debt Fund II 0.90% Group Debt Fund III 1.00% Group Liquid Fund II 0.07% This charge would be adjusted in unit price. Status. Copyright © e-Eighteen.com Ltd All rights resderved. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Minimum Top Up premium is Rs 5,000. Jan. 5, 2021 6:07 PM ET. Bajaj Allianz Life Insurance India Insurance ULIP Plans Credit Quality / Interest Rate Sensitivity. Pure Stock Fund, 4. Total Assets … Thanks to our partnership with Bajaj Allianz, you can now go with the best one-time investment plans in India. Copyright © e-Eighteen.com Ltd. All rights reserved. NAV / 1-Day Return. 17.66 / 0.48%. Bajaj Allianz ULIP Asset Allocation Pension Fund is an Insurance Linked Product incorporated in India. Balanced Allocation. Investment Style. In this policy, the investment risk in investment portfolio is borne by the policyholder. 32.96 / 0.70%. 19.64 / 0.15%. Old MCI!~!172@29@0@53!~!|insurance|ulip|bajaj-allianz-life-insurance-AB|bajaj-allianz-future-gain-asset-allocation-fund-ii-IAB405.html!~!www|moneycontrol|com!~!|insurance|ulip|snapshot.php!~!is_mobile=false, Snapshot - Bajaj Allianz - Future Gain - Asset Allocation Fund II, Tax benefits for an HUF and How to create capital for HUF, Webinar Presented by Knowlarity & Freshworks. 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Stocks and Stock Funds: 67.6%, … The existing policyholder of Group Balanced High/Extensive . The investment strategy will involve a flexible policy for allocating assets among Future Gain equities, bonds and cash. Under the investor selectable portfolio strategy, the policyholder will have the following eight fund choices:- 1. The asset allocation of … Risk Factors and Warning Statements: Bajaj Allianz Life Insurance Company Limited and Bajaj Allianz Life Goal Assure are the names of the company and the product respectively and do not in any way indicate the quality of the product and its future prospects or returns. Open Ended. Investment Style. Bajaj Allianz Life Insurance Company Ltd Fund Performance Summary ASSET PROFILE Asset Class Asset Allocation Funds Cash Funds Debt Funds Hybrid Funds Index Funds Equity Funds Equity ETF 0.00% 0.00% 0.00% 0.00% 0.00% 13.18% Equity Shares 73.73% 0.00% 0.00% 18.81% 99.19% 85.06% Money Market Instruments 1.95% 100.00% 4.29% 10.22% 0.81% 1.77% Fixed Deposits 0.00% 0.00% 2.65% … Bajaj Allianz Life Insurance Company Ltd Fund Performance Summary ASSET PROFILE FUND PERFORMANCE SUMMARY Asset Allocation Fund Asset Class Asset Allocation Funds Cash Funds Debt Funds Equity Funds Large Cap Equity Funds Mid Cap Index Funds Ethical Funds Equity ETF 0.85% 0.00% 0.00% 12.81% 1.61% 0.00% 4.56% Equity Shares 64.00% 0.00% 0.00% 82.23% 87.97% 95.93% 79.92% … CRISIL Composite Bond Fund TR INR. Summary . Bajaj Allianz ULIP Pure Stock Fund II is an insurance linked fund incorporated in India. Key features of Bajaj Allianz Life Smart Wealth Goal. The smart plan offers several value-packed features which include the following: 1) Return of Premium Allocation … An asset allocation fund is a fund that provides investors with a diversified portfolio of investments across various asset classes. Category. Bajaj Allianz Life - Asset Allocation Fund II. This and other important information is contained in the fund prospectuses and summary prospectuses , which can be obtained from a financial professional … Harsh will receive ` 25,27,222# (the regular premium fund value) on maturity. About Bajaj Allianz ULIP Asset Allocation Fund II. Our fund performance speaks for itself. Balanced Allocation 34.0110 29/12/2020 Bajaj Allianz Life - Accelerator Mid Cap Fund II. Bond Fund and 8. Bajaj Allianz Life Insurance Company Ltd Fund Performance Summary ASSET PROFILE Asset Class Asset Allocation Funds Cash Funds Debt Funds Hybrid Funds Index Funds Equity Funds Equity ETF 0.37% 0.00% 0.00% 0.00% 0.00% 7.10% Equity Shares 64.76% 0.00% 0.00% 17.56% 94.47% 83.19% Money Market Instruments 4.88% 100.00% 4.70% 6.24% 5.53% 8.90% Fixed Deposits 0.00% 0.00% 2.04% … 33.96 / 0.03%. GE Plaza, Airport Road, Yerawada Accelerator Mid-Cap Fund II, 3. Investment Style — Credit Quality / Interest Rate Sensitivity. Before it's here, it's on the Bloomberg Terminal. Exclusions in Bajaj Allianz Fortune Gain Plan. Also, you can do all this, online. Designed especially for traders looking to tap the profit opportunities of volatile markets. You can check out the performance of Bajaj Allianz Life Funds here. Bluechip Equity Fund, 7. The value and income derived from investments may go down as well as up Risk Factors and Warning Statements: Bajaj Allianz Life Insurance Company Limited and Bajaj Allianz Life Goal Assure are the names of the company and the product respectively and do not in any way indicate the quality of the product and its future prospects or returns. Open Ended. Bajaj Allianz Life offers a range of retirement plans that help you to fulfil all your retirement dreams. Bajaj Allianz Life Insurance Company Ltd Fund Performance Summary ASSET PROFILE Asset Class Asset Allocation Funds Cash Funds Debt Funds Hybrid Funds Index Funds Equity Funds Equity ETF 0.38% 0.00% 0.00% 0.00% 0.00% 5.39% Equity Shares 63.38% 0.00% 0.00% 16.37% 90.46% 88.03% Money Market Instruments 9.37% 100.00% 0.66% 17.18% 9.54% 6.58% Fixed Deposits 0.00% 0.00% 2.32% … Status. Asset Allocation Fund II, 6. or medium without express writtern permission of moneycontrol.com is prohibited. Bajaj Allianz - Future Gain - Asset Allocation Fund II: Get the Latest NAV Value, Performance and Returns of Bajaj Allianz - Future Gain - Asset Allocation Fund II. Bajaj Allianz Life - Asset Allocation Fund II. December AAII Asset Allocation Survey: 20-Month High For Equity Exposure. Index. NAV / 1-Day Return. Bajaj Allianz Life Insurance Company Ltd Type FUND NAMES SFIN Code 1 Month3 month6 month1 Year 2 Year 3 Year 5 Year Absolute Return CAGR Return Returns since Inception CAGR Inception Date Fund Performance Summary ASSET PROFILE FUND PERFORMANCE SUMMARY Asset Class Asset Allocation Funds Cash Funds Debt Funds Hybrid Funds Index Funds Equity Funds Asset Allocation Fund CRISIL … CRISIL Hybrid 35+65 - Agg TR INR. FUND PERFORMANCE www.bajajallianz.com Equity Funds Equity Mid-cap Funds Pure Equity Funds Shield Plus CIO’s Comments Asset allocation fund Debt funds Capital Shield Fund Performance Cash funds Max Gain Assured return fund Blue Chip Equity Fund Index linked (nifty) funds Guaranteed Bond Fund Growth Plus Equity Shares 88.0% 0.0% 0.0% 97.8% 98.6% 99.8% 98.3% Money Market Instrument 0.6% 82.2… High/Moderate . Avg Credit Quality. Status. Long Duration . Bajaj Allianz Life Group Employee Benefit A Unit-Linked, Non-Participating, Group Insurance Plan ... Group Equity Fund; Group BlueChip Fund; Group Asset Allocation Fund II; Stable Gain Fund; Secure Gain Fund; Group Balanced Gain Fund II Less than 1 Crore Nil 0.25% 0.45% 0.55% 0.70% >= 1 Crore to < 3 Crores >= 3 Crores to < 10 Crores >= 10 Crores to <25 Crores >= 25 Crores Group Liquid … Bajaj Allianz - Group Asset Allocation Fund: Get the Latest NAV Value, Performance and Returns of Bajaj Allianz - Group Asset Allocation Fund. ULIPs offer life cover: While mutual funds are just an investment tool, a ULIP offers you the dual benefits of an investment plan and also life insurance. Category. AAA. Open Ended. Pune 411 006. Index. Total Assets (mil) 2459.31. Which means policyholders get life cover along with the opportunity to invest in a number of fund options like equity (large-cap and mid-cap), asset allocation (balanced fund), bond, and liquid funds. Asset Allocation Fund Investors should carefully consider investment objectives, risks, charges and expenses. Balanced Allocation. Large Growth. Total Assets (mil) 16946.17. High/Moderate. Get information about the top portfolio holding of the Bajaj Allianz Life - Pure Stock Fund (0P0000NQ9P) fund - including stock holdings, annual turnover, top 10 holdings, sector and asset allocation. INR | NAV as of Dec 28, 2020 | 1-Day Return as of Dec 28, 2020 18:30 PM GMT+5:30. Total Assets (mil) 2687.25. 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