Skip to content
Search
Search
Close
LOGIN
Home
About
Our Team
The President’s Corner
Corporate Governance
Subsidiaries
Awards and Recognition
Corporate Social Responsibilities
Nav rates
Sales Network
Newsroom
Privacy Policy
Products
Healthcare
Individual Insurance
Group Insurance
Bancassurance
Mutual Funds
Special Markets
Loans
Knowledgebase
FAQs
Download Forms
Payment Facilities
Careers
Contact
Home
About
Our Team
The President’s Corner
Corporate Governance
Subsidiaries
Awards and Recognition
Corporate Social Responsibilities
Nav rates
Sales Network
Newsroom
Privacy Policy
Products
Healthcare
Individual Insurance
Group Insurance
Bancassurance
Mutual Funds
Special Markets
Loans
Knowledgebase
FAQs
Download Forms
Payment Facilities
Careers
Contact
Search
Close
LOGIN
NAV Rates
MONEY ACCUMULATOR
Aug 18, 2022
Economic and Market Update
Fund Performance
Fund History
NAVPU
Dollar Bond Fund
USD 1.4187
Peso Equity Fund
PHP 1.6733
Peso Fixed Income Fund
PHP 1.7794
Peso Income Growth Fund
PHP 1.2839
Peso Bond Fund
PHP 1.1990
CVL – GUARANTEED INTEREST RATE
*For deposits received or funds due for re-setting for the period 07/1/2022 – 07/31/2022, inclusive, for a fixed term of one (1) year.
RATE
US Dollar Guaranteed Fund
USD 2.00%
Peso Guaranteed Fund
PHP 0.50%
Peso Medium Term Guaranteed Fund
PHP 4.50%
Peso Long Term Guaranteed Fund
PHP 0.00%
Get a quote
We're Here
To Assist You
Name
Email
Contact Number
Choose Insurance Type
Healthcare
Individual Insurance
Group Insurance
Bancassurance
Mutual Funds
Special Market
Send
Comprehensive Variable Life
Unitized Funds
Dollar Bond Fund
Peso Equity Fund
Peso Fixed Income Fund
Peso Income Growth Fund
Peso Bond Fund
GUARANTEED FUNDS
Peso Guaranteed Fund
Login or Create an account as
Policy Holder
Agent
Employee