Sign Up !
Forgot Password
Home
About Us
Overview/who we are
Vision and Mission
Key Differenciators
Management
Company Advisors
Testimonials
Photo Gallery
BMA Seminar
VCCI Fair
CFO Conclave 2011
Gujarat SME Summit
Milestones
Media
News Room
Social Media
Rationale
Family Office Services
Insurance
Mutual Fund Portfolio
Wealth Management
Fund Syndication
Special Services
Online Tools
Calculators
Counsellor
Forms
e-Greetings
Policy Details
Online Payment
Policy Capture
Information Center
Product Information
Insurance Information
Insurance Products
LIC Nav's
Insurance Protfolio
Insurance Guide
Glossary
LIC Related Info
Tax information
Tax Slabs
Tax Guide
Industry news
Newsletter
FAQ
NRI Center
Insurance Plans
Forms Download
Procedure
FAQ
Mutual Funds
Videos
Articles
Career at Value Plus
» Home » Information » NAVs » LIC NAVs
NAV FOR THE DAY
NAV FOR THE DATE : 19/05/2012
Plan Name(Number)
Launch Date
Fund
Face Value
NAV as on date
Repurchase Value
Sale Value
BIMA PLUS (140)
Launch Date:
02/02/2001
Balanced
10.00
39.4014
37.4313
39.4014
Risk
10.00
54.6760
51.9422
54.6760
Secured
10.00
32.7186
31.0826
32.7186
FUTURE PLUS (172)
Launch Date:
04/03/2005
Balanced
10.00
17.4398
17.4398
17.4398
Bond
10.00
15.4056
15.4056
15.4056
Growth
10.00
22.8443
22.8443
22.8443
Income
10.00
17.0520
17.0520
17.0520
JEEVAN PLUS (173)
Launch Date:
18/10/2005
Balanced
10.00
15.1516
15.1516
15.1516
Bond
10.00
15.5683
15.5683
15.5683
Growth
10.00
21.3976
21.3976
21.3976
Secured
10.00
15.2803
15.2803
15.2803
MONEY PLUS (180)
Launch Date:
20/12/2006
Balanced
10.00
13.4323
13.4323
13.4323
Bond
10.00
15.0231
15.0231
15.0231
Growth
10.00
10.7106
10.7106
10.7106
Secured
10.00
13.9655
13.9655
13.9655
MARKET PLUS (181)
Launch Date:
05/07/2006
Balanced
10.00
14.8496
14.8496
14.8496
Bond
10.00
16.0986
16.0986
16.0986
Growth
10.00
13.5879
13.5879
13.5879
Secured
10.00
15.0735
15.0735
15.0735
FORTUNE PLUS (187)
Launch Date:
23/08/2007
Balanced
10.00
11.6393
11.6393
11.6393
Bond
10.00
14.1071
14.1071
14.1071
Growth
10.00
10.7680
10.7680
10.7680
Secured
10.00
14.1067
14.1067
14.1067
PROFIT PLUS (188)
Launch Date:
23/08/2007
Balanced
10.00
14.1655
14.1655
14.1655
Bond
10.00
14.6764
14.6764
14.6764
Growth
10.00
10.1948
10.1948
10.1948
Secured
10.00
13.3857
13.3857
13.3857
MARKET PLUS - I (191)
Launch Date:
17/06/2008
Balanced
10.00
11.6138
11.6138
11.6138
Bond
10.00
13.4873
13.4873
13.4873
Growth
10.00
12.6437
12.6437
12.6437
Secured
10.00
11.7150
11.7150
11.7150
MONEY PLUS - I (193)
Launch Date:
22/05/2008
Balanced
10.00
14.1047
14.1047
14.1047
Bond
10.00
14.3271
14.3271
14.3271
Growth
10.00
13.1371
13.1371
13.1371
Secured
10.00
14.9323
14.9323
14.9323
CHILD FORTUNE PLUS (194)
Launch Date:
01/11/2008
Balanced
10.00
14.1044
14.1044
14.1044
Bond
10.00
12.4867
12.4867
12.4867
Growth
10.00
14.5236
14.5236
14.5236
Secured
10.00
15.8688
15.8688
15.8688
JEEVAN SAATHI PLUS (197)
Launch Date:
29/06/2009
Balanced
10.00
9.9994
9.9994
9.9994
Bond
10.00
11.9368
11.9368
11.9368
Growth
10.00
10.5799
10.5799
10.5799
Secured
10.00
10.3251
10.3251
10.3251
WEALTH PLUS (801)
Launch Date:
09/02/2010
WealthPlus
10.00
9.2059
9.2059
9.2059
ENDOWMENT PLUS (802)
Launch Date:
20/09/2010
Balanced
10.00
9.8090
9.8090
9.8090
Bond
10.00
11.3328
11.3328
11.3328
Growth
10.00
9.5941
9.5941
9.5941
Secured
10.00
9.8967
9.8967
9.8967
PENSION PLUS (803)
Launch Date:
02/09/2010
Debt
10.00
11.3576
11.3576
11.3576
Mixed
10.00
10.2342
10.2342
10.2342
SAMRIDHI PLUS (804)
Launch Date:
25/02/2011
Samridhi Plus
10.00
9.9236
9.9236
9.9236
HEALTH PLUS (901)
Launch Date:
04/02/2008
Health Plus
10.00
11.9715
11.9715
11.9715
HEALTH PROTECTION PLUS (902)
Launch Date:
29/04/2009
Health Protection Plus
10.00
11.4255
11.4255
11.4255
*All NAV data is sourced from
www.licindia.com
. The data provided is for your reference only.
Always reconfirm with your financial advisor before taking any investment decision.
Home
|
Newsletter - Lifeline
|
Privacy Policy
|
Disclaimer
|
Feedback
|
Search the Site
|
Contact Us