Sunday, October 16, 2011

lic nav

lic nav status of your policies as on 14/10/2010
Source: www.licindia.com
     
Plan Name(Number) & Fund OptionsFace ValueNAV as on dateRepurchase ValueSale Value
     
BIMA PLUS (140)Launch Date:02/02/2001
Secured
10.00
32.2533
30.6406
32.2533
Balanced
10.00
39.6793
37.6953
39.6793
Risk
10.00
56.3077
53.4923
56.3077
FUTURE PLUS (172)Launch Date:04/03/2005
Bond
10.00
14.6394
14.6394
14.6394
Income
10.00
16.3295
16.3295
16.3295
Balanced
10.00
17.0606
17.0606
17.0606
Growth
10.00
22.5250
22.5250
22.5250
JEEVAN PLUS (173)Launch Date:18/10/2005
Bond
10.00
14.6757
14.6757
14.6757
Secured
10.00
14.7278
14.7278
14.7278
Balanced
10.00
14.8665
14.8665
14.8665
Growth
10.00
21.4999
21.4999
21.4999
MONEY  PLUS (180)Launch Date:20/12/2006
Bond
10.00
14.1699
14.1699
14.1699
Secured
10.00
13.5415
13.5415
13.5415
Balanced
10.00
13.3380
13.3380
13.3380
Growth
10.00
11.4102
11.4102
11.4102
MARKET PLUS (181)Launch Date:05/07/2006
Bond
10.00
15.1617
15.1617
15.1617
Secured
10.00
14.4005
14.4005
14.4005
Balanced
10.00
14.1435
14.1435
14.1435
Growth
10.00
14.3770
14.3770
14.3770
FORTUNE PLUS (187)Launch Date:23/08/2007
Bond
10.00
13.3407
13.3407
13.3407
Secured
10.00
13.5234
13.5234
13.5234
Balanced
10.00
11.5936
11.5936
11.5936
Growth
10.00
11.1370
11.1370
11.1370
PROFIT PLUS (188)Launch Date:23/08/2007
Bond
10.00
13.8649
13.8649
13.8649
Secured
10.00
13.2023
13.2023
13.2023
Balanced
10.00
13.8856
13.8856
13.8856
Growth
10.00
10.7355
10.7355
10.7355
MARKET PLUS - I (191)Launch Date:17/06/2008
Bond
10.00
12.6440
12.6440
12.6440
Secured
10.00
11.6541
11.6541
11.6541
Balanced
10.00
11.5525
11.5525
11.5525
Growth
10.00
12.9561
12.9561
12.9561
MONEY PLUS - I (193)Launch Date:22/05/2008
Bond
10.00
13.4987
13.4987
13.4987
Secured
10.00
14.6387
14.6387
14.6387
Balanced
10.00
14.1821
14.1821
14.1821
Growth
10.00
13.4010
13.4010
13.4010
CHILD FORTUNE PLUS (194)Launch Date:01/11/2008
Bond
10.00
11.7665
11.7665
11.7665
Secured
10.00
15.5535
15.5535
15.5535
Balanced
10.00
14.5176
14.5176
14.5176
Growth
10.00
14.5911
14.5911
14.5911
JEEVAN SAATHI PLUS (197)Launch Date:29/06/2009
Bond
10.00
11.2549
11.2549
11.2549
Secured
10.00
10.5702
10.5702
10.5702
Balanced
10.00
10.0343
10.0343
10.0343
Growth
10.00
10.7387
10.7387
10.7387
WEALTH PLUS (801)Launch Date:09/02/2010
WealthPlus
10.00
9.4975
9.4975
9.4975
ENDOWMENT PLUS (802)Launch Date:20/09/2010
Bond
10.00
10.7096
10.7096
10.7096
Secured
10.00
9.7154
9.7154
9.7154
Balanced
10.00
9.6071
9.6071
9.6071
Growth
10.00
9.6992
9.6992
9.6992
PENSION PLUS (803)Launch Date:02/09/2010
Debt
10.00
10.5552
10.5552
10.5552
Mixed
10.00
9.9804
9.9804
9.9804
SAMRIDHI PLUS (804)Launch Date:25/02/2011
Samridhi Plus
10.00
9.8455
9.8455
9.8455
HEALTH PLUS (901)Launch Date:04/02/2008
Health Plus
10.00
11.8024
11.8024
11.8024
HEALTH PROTECTION PLUS (902)Launch Date:29/04/2009
Health Protection Plus
10.00
11.1976
11.1976
11.1976