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›› Home ›› Information ›› LIC NAV's
     
 
 
 
NAV'S AS ON DATE 23.07.2008 EFFECTIVE FOR 23.07.2008
  BASIC UNIT VALUE NAV AS ON DATE REPURCHASE VALUE SALE VALUE
BIMA PLUS (140)

DATE OF LAUNCH
12.02.2001

 

 

 

SECURED FUND

10

23.6760

22.4922

23.6760

 BALANCED FUND

10

28.4821

27.0580

28.4821

 RISK FUND

10

38.2139

36.3032

38.2139

   

 

 

 

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005

 

 

 

BOND FUND

10

11.3267

11.3267

11.3267

INCOME  FUND

10

13.0145

13.0145

13.0145

BALANCED FUND

10

13.3360

13.3360

13.3360

GROWTH FUND

10

16.8260

16.8260

16.8260

   

 

 

 

JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005

 

 

 

BOND FUND

10

10.9229

10.9229

10.9229

SECURED FUND

10

11.4981

11.4981

11.4981

BALANCED FUND

10

11.6826

11.6826

11.6826

GROWTH FUND

10

15.5911

15.5911

15.5911

   

 

 

 

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

 

 

 

BOND FUND

10

10.3265

10.3265

10.3265

SECURED FUND

10

10.5461

10.5461

10.5461

BALANCED FUND

10

10.2745

10.2745

10.2745

GROWTH FUND

10

9.7671

9.7671

9.7671

   

 

 

 

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006

 

 

 

BOND FUND

10

11.4889

11.4889

11.4889

SECURED FUND

10

11.0707

11.0707

11.0707

BALANCED FUND

10

11.0907

11.0907

11.0907

GROWTH FUND

10

11.4085

11.4085

11.4085

   

 

 

 

FORTUNE PLUS  (187) DATE OF LAUNCH
23.08.2007

 

 

 

BOND FUND

10

10.2056

10.2056

10.2056

SECURED FUND

10

9.1227

9.1227

9.1227

BALANCED FUND

10

9.0491

9.0491

9.0491

GROWTH FUND

10

8.9532

8.9532

8.9532

   

 

 

 

PROFIT PLUS  (188) DATE OF LAUNCH
23.08.2007

 

 

 

BOND FUND

10

9.9397

9.9397

9.9397

SECURED FUND

10

8.6329

8.6329

8.6329

BALANCED FUND

10

9.0060

9.0060

9.0060

GROWTH FUND

10

8.9165

8.9165

8.9165

 
GRATUITY PLUS DATE OF LAUNCH
22.06.2006

 

 

 

BOND FUND

10

10.7158

10.7158

10.7158

SECURED FUND

10

10.8703

10.8703

10.8703

BALANCED FUND

10

10.5028

10.5028

10.5028

GROWTH FUND

10

10.5691

10.5691

10.5691

 
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008

 

 

 

HEALTH PLUS FUND 10

9.7084

9.7084

9.7084

         
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
     

BOND FUND

10

10.0382

10.0382

10.0382

SECURED FUND

10

10.0210

10.0210

10.0210

BALANCED FUND

10

10.0254

10.0254

10.0254

GROWTH FUND

10

10.1191

10.1191

10.1191

         
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
     

BOND FUND

10

10.0145

10.0145

10.0145

SECURED FUND

10

10.0109

10.0109

10.0109

BALANCED FUND

10

10.0189

10.0189

10.0189

GROWTH FUND

10

10.0649

10.0649

10.0649

 
#  Subject to Market risk ;  Not guaranteed
#  Past performance may not indicate future performance

 

 
*All NAV data is sourced from www.licindia.com. The data provided is for your reference only.
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