LIC NAV

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13-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.65580 13-07-2021 0.13 0.37 LIC Child Fortune Plus Bond Fund 26.88170 13-07-2021 -0.02 -0.08 LIC Child Fortune Plus Growth Fund 46.20790 13-07-2021 0.20 0.44 LIC Child Fortune Plus Secured Fund 37.79740 13-07-2021 0.09 0.24 LIC Endowment Plus Balanced Fund 24.64930 13-07-2021 […]

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12-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.52950 12-07-2021 -0.04 -0.11 LIC Child Fortune Plus Bond Fund 26.90210 12-07-2021 -0.01 -0.03 LIC Child Fortune Plus Growth Fund 46.00740 12-07-2021 -0.01 -0.02 LIC Child Fortune Plus Secured Fund 37.70810 12-07-2021 -0.04 -0.11 LIC Endowment Plus Balanced Fund 24.52900 12-07-2021 […]

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09-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.56900 09-07-2021 0.07 0.19 LIC Child Fortune Plus Bond Fund 26.91070 09-07-2021 0.07 0.28 LIC Child Fortune Plus Growth Fund 46.01490 09-07-2021 -0.00 -0.01 LIC Child Fortune Plus Secured Fund 37.75120 09-07-2021 0.05 0.13 LIC Endowment Plus Balanced Fund 24.52470 09-07-2021 […]

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08-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.50380 08-07-2021 -0.19 -0.55 LIC Child Fortune Plus Bond Fund 26.83630 08-07-2021 -0.06 -0.23 LIC Child Fortune Plus Growth Fund 46.01970 08-07-2021 -0.23 -0.50 LIC Child Fortune Plus Secured Fund 37.70160 08-07-2021 -0.17 -0.44 LIC Endowment Plus Balanced Fund 24.53650 08-07-2021 […]

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07-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.69380 07-07-2021 0.15 0.45 LIC Child Fortune Plus Bond Fund 26.89730 07-07-2021 0.02 0.07 LIC Child Fortune Plus Growth Fund 46.24870 07-07-2021 0.13 0.28 LIC Child Fortune Plus Secured Fund 37.87000 07-07-2021 0.12 0.32 LIC Endowment Plus Balanced Fund 24.66150 07-07-2021 […]

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06-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.53970 06-07-2021 -0.10 -0.30 LIC Child Fortune Plus Bond Fund 26.87800 06-07-2021 0.02 0.09 LIC Child Fortune Plus Growth Fund 46.12180 06-07-2021 -0.19 -0.42 LIC Child Fortune Plus Secured Fund 37.74920 06-07-2021 -0.10 -0.26 LIC Endowment Plus Balanced Fund 24.56470 06-07-2021 […]

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05-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.64280 05-07-2021 0.19 0.56 LIC Child Fortune Plus Bond Fund 26.85480 05-07-2021 -0.01 -0.04 LIC Child Fortune Plus Growth Fund 46.31570 05-07-2021 0.22 0.48 LIC Child Fortune Plus Secured Fund 37.84880 05-07-2021 0.16 0.42 LIC Endowment Plus Balanced Fund 24.63740 05-07-2021 […]

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02-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.44950 02-07-2021 -0.02 -0.07 LIC Child Fortune Plus Bond Fund 26.86600 02-07-2021 -0.12 -0.46 LIC Child Fortune Plus Growth Fund 46.09650 02-07-2021 0.08 0.17 LIC Child Fortune Plus Secured Fund 37.69040 02-07-2021 -0.05 -0.12 LIC Endowment Plus Balanced Fund 24.51020 02-07-2021 […]

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01-07-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.47360 01-07-2021 0.02 0.06 LIC Child Fortune Plus Bond Fund 26.99030 01-07-2021 0.02 0.09 LIC Child Fortune Plus Growth Fund 46.01950 01-07-2021 -0.01 -0.02 LIC Child Fortune Plus Secured Fund 37.73590 01-07-2021 0.05 0.14 LIC Endowment Plus Balanced Fund 24.50370 01-07-2021 […]

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30-06-2021

ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.45370 30-06-2021 -0.13 -0.39 LIC Child Fortune Plus Bond Fund 26.96540 30-06-2021 -0.02 -0.06 LIC Child Fortune Plus Growth Fund 46.02900 30-06-2021 -0.07 -0.16 LIC Child Fortune Plus Secured Fund 37.68360 30-06-2021 -0.08 -0.20 LIC Endowment Plus Balanced Fund 24.51540 30-06-2021 […]

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