Agent Of the Month
Life, as an Lic Agent
Be an agent of LIC and get stipend of
Rs. 4000/- per month for 1st year. For more details call 9819317675.

 
     
 
 
NAV'S AS ON DATE 30/09/2010
EFFECTIVE FOR
30/09/2010
PLAN NAME
&
FUND OPTIONS
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE
VALUE

 BIMA PLUS (140)

DATE OF LAUNCH
02.02.2001

     

 SECURED FUND

10

032.9068

031.2614

032.9068

 BALANCED FUND

10

044.4521

042.2295

044.4521

 RISK FUND

10

065.9349

062.6381

065.9349

   

 

 

 

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
     

BOND FUND

10

013.8044

013.8044

013.8044

INCOME  FUND

10

016.3688

016.3688

016.3688

BALANCED FUND

10

017.8171

017.8171

017.8171

GROWTH FUND

10

025.3010

025.3010

025.3010

         
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
     

BOND FUND

10

013.7871

013.7871

013.7871

SECURED FUND

10

014.7120

014.7120

014.7120

BALANCED FUND

10

015.1396

015.1396

015.1396

GROWTH FUND

10

024.0936

024.0936

024.0936

         
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
     

BOND FUND

10

014.3185

014.3185

014.3185

SECURED FUND

10

014.7725

014.7725

014.7725

BALANCED FUND

10

015.1170

015.1170

015.1170

GROWTH FUND

10

016.5405

016.5405

016.5405

         
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

 

 

 

BOND FUND

10

013.3367

013.3367

013.3367

SECURED FUND

10

013.6323

013.6323

013.6323

BALANCED FUND

10

013.9460

013.9460

013.9460

GROWTH FUND

10

013.0532

013.0532

013.0532

   

 

 

 

FORTUNE PLUS  (187) DATE OF LAUNCH
23.08.2007

 

 

 

BOND FUND

10

012.6021

012.6021

012.6021

SECURED FUND

10

013.5518

013.5518

013.5518

BALANCED FUND

10

012.6867

012.6867

012.6867

GROWTH FUND

10

012.8744

012.8744

012.8744

   

 

 

 

PROFIT PLUS  (188) DATE OF LAUNCH
23.08.2007

 

 

 

BOND FUND

10

013.1190

013.1190

013.1190

SECURED FUND

10

013.6196

013.6196

013.6196

BALANCED FUND

10

014.3075

014.3075

014.3075

GROWTH FUND

10

012.6805

012.6805

012.6805

 
GRATUITY PLUS DATE OF LAUNCH
22.06.2006

 

 

 

BOND FUND

10

13.8866 13.8866 13.8866

INCOME FUND

10

15.2068

15.2068

15.2068

BALANCED FUND

10

15.9855

15.9855

15.9855

GROWTH FUND

10

15.1459

15.1459

15.1459

 
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008

 

 

 

HEALTH PLUS FUND

10

012.1101

012.1101

012.1101

         
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
     

BOND FUND

10

012.9898

012.9898

012.9898

SECURED FUND

10

015.4434

015.4434

015.4434

BALANCED FUND

10

015.5136

015.5136

015.5136

GROWTH FUND

10

014.8152

014.8152

014.8152

         
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
     

BOND FUND

10

012.0572

012.0572

012.0572

SECURED FUND

10

012.9535

012.9535

012.9535

BALANCED FUND

10

013.2978

013.2978

013.2978

GROWTH FUND

10

014.8392

014.8392

014.8392

         
CHILD FORTUNE
PLUS (194)
DATE OF LAUNCH
01.11.2008
     

BOND FUND

10

011.1820

011.1820

011.1820

SECURED FUND

10

015.7854

015.7854

015.7854

BALANCED FUND

10

015.6839

015.6839

015.6839

GROWTH FUND

10

016.3546

016.3546

016.3546

         
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009      

HEALTH PROTECTION PLUS FUND

10

011.4396

011.4396

011.4396

         
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009      

BOND FUND

10

010.7590

010.7590

010.7590

SECURED FUND

10

010.9563

010.9563

010.9563

BALANCED FUND

10

011.2131

011.2131

011.2131

GROWTH FUND

10

012.3400

012.3400

012.3400

         
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
     
WEALTH PLUS FUND 10

010.6548

010.6548

010.6548

         
PENSION PLUS (803) DATE OF
LAUNCH
02.09.2010
     
DEBT FUND 10

010.0000

010.0000

010.0000

MIXED FUND 10

010.0000

010.0000

010.0000

         
ENDOWMENT PLUS (802) DATE OF
LAUNCH
20.09.2010
     
BOND FUND 10

010.0000

010.0000

010.0000

SECURED FUND 10

010.0000

010.0000

010.0000

 BALANCED FUND 10

010.0000

010.0000

010.0000

 GROWTH FUND 10

010.0000

010.0000

010.0000

 
#  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.
Always reconfirm with your financial advisor before taking any investment decision.