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» Home » Information » NAVs » LIC NAVs
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NAV FOR THE DAY
NAV FOR THE DATE : 05/03/2021
Plan Name(Number)
Launch Date
Fund
Face Value
NAV as on date
Repurchase Value
Sale Value
FUTURE PLUS (172)
Launch Date:
04/03/2005
Balanced
10.00
41.2979
41.2979
41.2979
Bond
10.00
25.4755
25.4755
25.4755
Growth
10.00
54.7685
54.7685
54.7685
Income
10.00
38.6417
38.6417
38.6417
JEEVAN PLUS (173)
Launch Date:
18/10/2005
Balanced
10.00
31.4887
31.4887
31.4887
Bond
10.00
30.9981
30.9981
30.9981
Growth
10.00
49.7290
49.7290
49.7290
Secured
10.00
32.2937
32.2937
32.2937
MONEY PLUS (180)
Launch Date:
20/12/2006
Balanced
10.00
34.0742
34.0742
34.0742
Bond
10.00
31.4728
31.4728
31.4728
Growth
10.00
22.3795
22.3795
22.3795
Secured
10.00
32.2813
32.2813
32.2813
MARKET PLUS (181)
Launch Date:
05/07/2006
Balanced
10.00
37.2098
37.2098
37.2098
Bond
10.00
34.7876
34.7876
34.7876
Growth
10.00
22.9225
22.9225
22.9225
Secured
10.00
38.9504
38.9504
38.9504
FORTUNE PLUS (187)
Launch Date:
23/08/2007
Balanced
10.00
24.2960
24.2960
24.2960
Bond
10.00
29.3574
29.3574
29.3574
Growth
10.00
24.7317
24.7317
24.7317
Secured
10.00
29.1561
29.1561
29.1561
PROFIT PLUS (188)
Launch Date:
23/08/2007
Balanced
10.00
34.8842
34.8842
34.8842
Bond
10.00
31.8550
31.8550
31.8550
Growth
10.00
21.6240
21.6240
21.6240
Secured
10.00
33.8021
33.8021
33.8021
MARKET PLUS - I (191)
Launch Date:
17/06/2008
Balanced
10.00
24.2660
24.2660
24.2660
Bond
10.00
27.4719
27.4719
27.4719
Growth
10.00
27.1295
27.1295
27.1295
Secured
10.00
22.9919
22.9919
22.9919
MONEY PLUS - I (193)
Launch Date:
22/05/2008
Balanced
10.00
35.2350
35.2350
35.2350
Bond
10.00
32.7540
32.7540
32.7540
Growth
10.00
33.9711
33.9711
33.9711
Secured
10.00
36.9963
36.9963
36.9963
CHILD FORTUNE PLUS (194)
Launch Date:
01/11/2008
Balanced
10.00
32.0000
32.0000
32.0000
Bond
10.00
26.2019
26.2019
26.2019
Growth
10.00
43.3217
43.3217
43.3217
Secured
10.00
35.4122
35.4122
35.4122
JEEVAN SAATHI PLUS (197)
Launch Date:
29/06/2009
Balanced
10.00
28.4955
28.4955
28.4955
Bond
10.00
24.8016
24.8016
24.8016
Growth
10.00
26.9731
26.9731
26.9731
Secured
10.00
27.8635
27.8635
27.8635
ENDOWMENT PLUS (802)
Launch Date:
20/09/2010
Balanced
10.00
23.1536
23.1536
23.1536
Bond
10.00
23.3769
23.3769
23.3769
Growth
10.00
25.9832
25.9832
25.9832
Secured
10.00
22.5006
22.5006
22.5006
PENSION PLUS (803)
Launch Date:
02/09/2010
Debt
10.00
22.3428
22.3428
22.3428
Mixed
10.00
23.1709
23.1709
23.1709
SAMRIDHI PLUS (804)
Launch Date:
25/02/2011
Samridhi Plus
10.00
23.1702
23.1702
23.1702
FLEXI PLUS (811)
Launch Date:
02/01/2013
Debt_Fund
10.00
19.7662
19.7662
19.7662
Mixed_Fund
10.00
20.4880
20.4880
20.4880
NEW ENDOWMENT PLUS (835)
Launch Date:
19/08/2015
Balanced
10.00
17.1466
17.1466
17.1466
Bond
10.00
15.7939
15.7939
15.7939
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
15.7415
15.7415
15.7415
Growth
10.00
17.6118
17.6118
17.6118
Secured
10.00
17.0136
17.0136
17.0136
LIC'S NIVESH PLUS (849)
Launch Date:
02/03/2020
Balanced
ULIF003241218LICULIP+BAL512
10.00
12.7754
12.7754
12.7754
Bond
ULIF001241218LICULIP+BND512
10.00
10.3140
10.3140
10.3140
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
15.7415
15.7415
15.7415
Growth
ULIF004241218LICULIP+GRW512
10.00
14.4198
14.4198
14.4198
Secured
ULIF002241218LICULIP+SEC512
10.00
11.7794
11.7794
11.7794
HEALTH PLUS (901)
Launch Date:
04/02/2008
Health Plus
10.00
27.8792
27.8792
27.8792
HEALTH PROTECTION PLUS (902)
Launch Date:
29/04/2009
Health Protection Plus
10.00
25.5744
25.5744
25.5744
*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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