LIC Nav – Life Insurance Corporation of India | LIC ULIPs NAV values

LIC NAV PLAN: Latest LIFE Insurance Corp NAV Ulip Plans, Value, Sale value Etc. Details about LIC NAV.

NAV FOR THE DATE : 06/09/2013

BIMA PLUS (140) Launch Date:02/02/2001
Balanced ULIF002020201LICBMA+BAL512 10.00 41.1123 39.0567 41.1123
Risk ULIF003020201LICBMA+RSK512 10.00 56.5217 53.6956 56.5217
Secured ULIF001020201LICBMA+SEC512 10.00 35.8705 34.0770 35.8705
FUTURE PLUS (172) Launch Date:04/03/2005
Balanced ULIF003040305LICFUT+BAL512 10.00 18.8610 18.8610 18.8610
Bond ULIF001040305LICFUT+BND512 10.00 16.9648 16.9648 16.9648
Growth ULIF004040305LICFUT+GRW512 10.00 24.9916 24.9916 24.9916
Income ULIF002040305LICFUT+INC512 10.00 18.6610 18.6610 18.6610
JEEVAN PLUS (173) Launch Date:18/10/2005
Balanced ULIF003181005LICJVN+BAL512 10.00 16.6109 16.6109 16.6109
Bond ULIF001181005LICJVN+BND512 10.00 17.4930 17.4930 17.4930
Growth ULIF004181005LICJVN+GRW512 10.00 23.2296 23.2296 23.2296
Secured ULIF002181005LICJVN+SEC512 10.00 16.7806 16.7806 16.7806
MONEY  PLUS (180) Launch Date:20/12/2006
Balanced ULIF003201206LICMNY+BAL512 10.00 14.6738 14.6738 14.6738
Bond ULIF001201206LICMNY+BND512 10.00 16.6329 16.6329 16.6329
Growth ULIF004201206LICMNY+GRW512 10.00 11.7199 11.7199 11.7199
Secured ULIF002201206LICMNY+SEC512 10.00 15.4584 15.4584 15.4584
MARKET PLUS (181) Launch Date:05/07/2006
Balanced ULIF003050706LICMKT+BAL512 10.00 16.8580 16.8580 16.8580
Bond ULIF001050706LICMKT+BND512 10.00 18.0321 18.0321 18.0321
Growth ULIF004050706LICMKT+GRW512 10.00 14.5638 14.5638 14.5638
Secured ULIF002050706LICMKT+SEC512 10.00 16.8471 16.8471 16.8471
FORTUNE PLUS (187) Launch Date:23/08/2007
Balanced ULIF003230807LICFTN+BAL512 10.00 12.0102 12.0102 12.0102
Bond ULIF001230807LICFTN+BND512 10.00 15.7331 15.7331 15.7331
Growth ULIF004230807LICFTN+GRW512 10.00 11.2115 11.2115 11.2115
Secured ULIF002230807LICFTN+SEC512 10.00 15.0098 15.0098 15.0098
PROFIT PLUS (188) Launch Date:23/08/2007
Balanced ULIF003230807LICPFT+BAL512 10.00 15.1199 15.1199 15.1199
Bond ULIF001230807LICPFT+BND512 10.00 16.3359 16.3359 16.3359
Growth ULIF004230807LICPFT+GRW512 10.00 10.9481 10.9481 10.9481
Secured ULIF002230807LICPFT+SEC512 10.00 14.0730 14.0730 14.0730
MARKET PLUS – I (191) Launch Date:17/06/2008
Balanced ULIF003170608LICMK1+BAL512 10.00 12.2048 12.2048 12.2048
Bond ULIF001170608LICMK1+BND512 10.00 14.7922 14.7922 14.7922
Growth ULIF004170608LICMK1+GRW512 10.00 13.2772 13.2772 13.2772
Secured ULIF002170608LICMK1+SEC512 10.00 12.3919 12.3919 12.3919
MONEY PLUS – I (193) Launch Date:22/05/2008
Balanced ULIF003220508LICMY1+BAL512 10.00 14.8611 14.8611 14.8611
Bond ULIF001220508LICMY1+BND512 10.00 15.9267 15.9267 15.9267
Growth ULIF004220508LICMY1+GRW512 10.00 14.7450 14.7450 14.7450
Secured ULIF002220508LICMY1+SEC512 10.00 16.2789 16.2789 16.2789
CHILD FORTUNE PLUS (194) Launch Date:01/11/2008
Balanced ULIF003011108LICCHF+BAL512 10.00 15.1508 15.1508 15.1508
Bond ULIF001011108LICCHF+BND512 10.00 14.0044 14.0044 14.0044
Growth ULIF004011108LICCHF+GRW512 10.00 15.8564 15.8564 15.8564
Secured ULIF002011108LICCHF+SEC512 10.00 17.1173 17.1173 17.1173
JEEVAN SAATHI PLUS (197) Launch Date:29/06/2009
Balanced ULIF003290609LICJST+BAL512 10.00 10.5788 10.5788 10.5788
Bond ULIF001290609LICJST+BND512 10.00 13.3191 13.3191 13.3191
Growth ULIF004290609LICJST+GRW512 10.00 11.1688 11.1688 11.1688
Secured ULIF002290609LICJST+SEC512 10.00 11.8188 11.8188 11.8188
WEALTH PLUS (801) Launch Date:09/02/2010
WealthPlus ULIF001090210LICWLT+FND512 10.00 9.8693 9.8693 9.8693
ENDOWMENT PLUS (802) Launch Date:20/09/2010
Balanced ULIF003200910LICEND+BAL512 10.00 10.6711 10.6711 10.6711
Bond ULIF001200910LICEND+BND512 10.00 12.6110 12.6110 12.6110
Growth ULIF004200910LICEND+GRW512 10.00 10.5832 10.5832 10.5832
Secured ULIF002200910LICEND+SEC512 10.00 10.8814 10.8814 10.8814
PENSION PLUS (803) Launch Date:02/09/2010
Debt ULIF001020910LICPEN+DBT512 10.00 12.5144 12.5144 12.5144
Mixed ULIF002020910LICPEN+MIX512 10.00 11.0204 11.0204 11.0204
SAMRIDHI PLUS (804) Launch Date:25/02/2011
Samridhi Plus ULIF001250211LICSMD+FND512 10.00 11.0469 11.0469 11.0469
FLEXI PLUS (811) Launch Date:02/01/2013
Debt_Fund ULIF001180912LICFLX+DBT512 10.00 10.3049 10.3049 10.3049
Mixed_Fund ULIF002180912LICFLX=+MIX512 10.00 10.1929 10.1929 10.1929
HEALTH PLUS (901) Launch Date:04/02/2008
Health Plus ULIF001040208LICHLT+FND512 10.00 13.1514 13.1514 13.1514
HEALTH PROTECTION PLUS (902) Launch Date:29/04/2009
Health Protection Plus ULIF001290409LICHPR+FND512 10.00 12.4926 12.4926 12.4926

 

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