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HOME » INFORMATION » NAVs » LIC NAVs
NAV FOR THE DAY      
  
FUTURE PLUS (172) Launch Date:04/03/2005
Balanced   10.00 45.2773 45.2773 45.2773
Bond   10.00 26.4324 26.4324 26.4324
Growth   10.00 61.0794 61.0794 61.0794
Income   10.00 41.8323 41.8323 41.8323
JEEVAN PLUS (173) Launch Date:18/10/2005
Balanced   10.00 34.2166 34.2166 34.2166
Bond   10.00 32.5837 32.5837 32.5837
Growth   10.00 55.8527 55.8527 55.8527
Secured   10.00 34.7279 34.7279 34.7279
MONEY  PLUS (180) Launch Date:20/12/2006
Balanced   10.00 38.6341 38.6341 38.6341
Bond   10.00 33.1599 33.1599 33.1599
Growth   10.00 25.5946 25.5946 25.5946
Secured   10.00 34.6459 34.6459 34.6459
MARKET PLUS (181) Launch Date:05/07/2006
Balanced   10.00 41.0723 41.0723 41.0723
Bond   10.00 36.3334 36.3334 36.3334
Growth   10.00 25.6394 25.6394 25.6394
Secured   10.00 42.5322 42.5322 42.5322
FORTUNE PLUS (187) Launch Date:23/08/2007
Balanced   10.00 27.2750 27.2750 27.2750
Bond   10.00 30.7699 30.7699 30.7699
Growth   10.00 27.5938 27.5938 27.5938
Secured   10.00 33.0021 33.0021 33.0021
PROFIT PLUS (188) Launch Date:23/08/2007
Balanced   10.00 40.7004 40.7004 40.7004
Bond   10.00 33.3568 33.3568 33.3568
Growth   10.00 24.8545 24.8545 24.8545
Secured   10.00 37.9609 37.9609 37.9609
MARKET PLUS - I (191) Launch Date:17/06/2008
Balanced   10.00 27.5151 27.5151 27.5151
Bond   10.00 29.0498 29.0498 29.0498
Growth   10.00 31.8741 31.8741 31.8741
Secured   10.00 25.8261 25.8261 25.8261
MONEY PLUS - I (193) Launch Date:22/05/2008
Balanced   10.00 39.6568 39.6568 39.6568
Bond   10.00 34.3965 34.3965 34.3965
Growth   10.00 38.2401 38.2401 38.2401
Secured   10.00 40.6382 40.6382 40.6382
CHILD FORTUNE PLUS (194) Launch Date:01/11/2008
Balanced   10.00 36.0731 36.0731 36.0731
Bond   10.00 27.6969 27.6969 27.6969
Growth   10.00 49.1641 49.1641 49.1641
Secured   10.00 39.7575 39.7575 39.7575
JEEVAN SAATHI PLUS (197) Launch Date:29/06/2009
Balanced   10.00 32.3608 32.3608 32.3608
Bond   10.00 26.2688 26.2688 26.2688
Growth   10.00 29.9943 29.9943 29.9943
Secured   10.00 31.4046 31.4046 31.4046
ENDOWMENT PLUS (802) Launch Date:20/09/2010
Balanced   10.00 25.8599 25.8599 25.8599
Bond   10.00 24.7806 24.7806 24.7806
Growth   10.00 28.9844 28.9844 28.9844
Secured   10.00 25.1596 25.1596 25.1596
PENSION PLUS (803) Launch Date:02/09/2010
Debt   10.00 23.2656 23.2656 23.2656
Mixed   10.00 25.4310 25.4310 25.4310
FLEXI PLUS (811) Launch Date:02/01/2013
Debt_Fund   10.00 20.8080 20.8080 20.8080
Mixed_Fund   10.00 22.0513 22.0513 22.0513
NEW ENDOWMENT PLUS (835) Launch Date:19/08/2015
Balanced   10.00 19.3193 19.3193 19.3193
Bond   10.00 16.6730 16.6730 16.6730
Discontinued Policy Fund ULIF001201114LICDPFNLIF512 10.00 16.4835 16.4835 16.4835
Growth   10.00 19.9599 19.9599 19.9599
Secured   10.00 18.9546 18.9546 18.9546
LIC'S NIVESH PLUS (849) Launch Date:02/03/2020
Balanced ULIF003241218LICULIP+BAL512 10.00 13.9953 13.9953 13.9953
Bond ULIF001241218LICULIP+BND512 10.00 10.8481 10.8481 10.8481
Discontinued Policy Fund ULIF001201114LICDPFNLIF512 10.00 16.4835 16.4835 16.4835
Growth ULIF004241218LICULIP+GRW512 10.00 16.1159 16.1159 16.1159
Secured ULIF002241218LICULIP+SEC512 10.00 12.7846 12.7846 12.7846
HEALTH PLUS (901) Launch Date:04/02/2008
Health Plus   10.00 30.9725 30.9725 30.9725
HEALTH PROTECTION PLUS (902) Launch Date:29/04/2009
Health Protection Plus   10.00 27.6280 27.6280 27.6280
*All NAV data is sourced from www.licindia.in. The data provided is for your reference only.
Always reconfirm with your financial advisor before taking any investment decision.
 
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