Home Information NAVs LIC NAVs
NAV FOR THE DAY      
  
FUTURE PLUS (172) Launch Date:04/03/2005
Balanced   10.00 44.8554 44.8554 44.8554
Bond   10.00 26.3983 26.3983 26.3983
Growth   10.00 60.0653 60.0653 60.0653
Income   10.00 41.5950 41.5950 41.5950
JEEVAN PLUS (173) Launch Date:18/10/2005
Balanced   10.00 33.8803 33.8803 33.8803
Bond   10.00 32.5222 32.5222 32.5222
Growth   10.00 54.8403 54.8403 54.8403
Secured   10.00 34.4831 34.4831 34.4831
MONEY  PLUS (180) Launch Date:20/12/2006
Balanced   10.00 38.2377 38.2377 38.2377
Bond   10.00 33.1136 33.1136 33.1136
Growth   10.00 25.1439 25.1439 25.1439
Secured   10.00 34.3565 34.3565 34.3565
MARKET PLUS (181) Launch Date:05/07/2006
Balanced   10.00 40.5627 40.5627 40.5627
Bond   10.00 36.2970 36.2970 36.2970
Growth   10.00 25.2013 25.2013 25.2013
Secured   10.00 42.1094 42.1094 42.1094
FORTUNE PLUS (187) Launch Date:23/08/2007
Balanced   10.00 26.8271 26.8271 26.8271
Bond   10.00 30.6764 30.6764 30.6764
Growth   10.00 27.1096 27.1096 27.1096
Secured   10.00 32.6523 32.6523 32.6523
PROFIT PLUS (188) Launch Date:23/08/2007
Balanced   10.00 40.0530 40.0530 40.0530
Bond   10.00 33.2768 33.2768 33.2768
Growth   10.00 24.3391 24.3391 24.3391
Secured   10.00 37.5273 37.5273 37.5273
MARKET PLUS - I (191) Launch Date:17/06/2008
Balanced   10.00 27.0064 27.0064 27.0064
Bond   10.00 29.0185 29.0185 29.0185
Growth   10.00 31.2928 31.2928 31.2928
Secured   10.00 25.5274 25.5274 25.5274
MONEY PLUS - I (193) Launch Date:22/05/2008
Balanced   10.00 39.0122 39.0122 39.0122
Bond   10.00 34.3607 34.3607 34.3607
Growth   10.00 37.5958 37.5958 37.5958
Secured   10.00 40.0882 40.0882 40.0882
CHILD FORTUNE PLUS (194) Launch Date:01/11/2008
Balanced   10.00 35.6396 35.6396 35.6396
Bond   10.00 27.6376 27.6376 27.6376
Growth   10.00 48.0566 48.0566 48.0566
Secured   10.00 39.3341 39.3341 39.3341
JEEVAN SAATHI PLUS (197) Launch Date:29/06/2009
Balanced   10.00 32.2109 32.2109 32.2109
Bond   10.00 26.2065 26.2065 26.2065
Growth   10.00 29.6804 29.6804 29.6804
Secured   10.00 31.0730 31.0730 31.0730
ENDOWMENT PLUS (802) Launch Date:20/09/2010
Balanced   10.00 25.3882 25.3882 25.3882
Bond   10.00 24.7267 24.7267 24.7267
Growth   10.00 28.3587 28.3587 28.3587
Secured   10.00 24.7968 24.7968 24.7968
PENSION PLUS (803) Launch Date:02/09/2010
Debt   10.00 23.2124 23.2124 23.2124
Mixed   10.00 25.2667 25.2667 25.2667
FLEXI PLUS (811) Launch Date:02/01/2013
Debt_Fund   10.00 20.7712 20.7712 20.7712
Mixed_Fund   10.00 21.9381 21.9381 21.9381
NEW ENDOWMENT PLUS (835) Launch Date:19/08/2015
Balanced   10.00 19.0490 19.0490 19.0490
Bond   10.00 16.6375 16.6375 16.6375
Discontinued Policy Fund ULIF001201114LICDPFNLIF512 10.00 16.4595 16.4595 16.4595
Growth   10.00 19.6049 19.6049 19.6049
Secured   10.00 18.7311 18.7311 18.7311
LIC'S NIVESH PLUS (849) Launch Date:02/03/2020
Balanced ULIF003241218LICULIP+BAL512 10.00 13.8678 13.8678 13.8678
Bond ULIF001241218LICULIP+BND512 10.00 10.8232 10.8232 10.8232
Discontinued Policy Fund ULIF001201114LICDPFNLIF512 10.00 16.4595 16.4595 16.4595
Growth ULIF004241218LICULIP+GRW512 10.00 15.9363 15.9363 15.9363
Secured ULIF002241218LICULIP+SEC512 10.00 12.6852 12.6852 12.6852
HEALTH PLUS (901) Launch Date:04/02/2008
Health Plus   10.00 30.5119 30.5119 30.5119
HEALTH PROTECTION PLUS (902) Launch Date:29/04/2009
Health Protection Plus   10.00 27.3671 27.3671 27.3671
*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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