LIC NAV

A unit-linked insurance plan (ULIP) is a type of life insurance that combines risk protection and investing. The capital market’s movements have a direct impact on the performance of ULIPs.

The investment risk is normally borne by the investor in a Unit Linked Policy. ULIP investment returns are not always guaranteed.

What is a ULIP policy?

Unit Linked Insurance Policies, or ULIPs, are insurance policies that allow you to build wealth while maintaining the security of a life insurance policy. In ULIPs, a portion of your premium is allocated to your Life Cover, while the remainder is allocated to a common pool of money, known as a fund, which invests in equities, debt, or a combination of the two.

Should I invest in LIC ULIP policy

Individuals having a long-term financial plan for wealth growth and insurance should consider ULIPs. A ULIP that is held to maturity might be beneficial for retirement, children’s education, and other financial goals. It combines the advantages of savings and security into a single plan.

Is ULIP different from mutual funds?

Low costs and expert management are two advantages of mutual funds. The expense ratio for mutual funds is regulated at 1.05 percent by SEBI, but there is no such limit for ULIPs. ULIP scheme fees might be substantially greater than mutual fund fees. 23-Jul-2021

Latest NAV of LIC ULIP Plans

  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 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 […]
  • 28-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.58830 28-06-2021 0.08 0.22 LIC Child Fortune Plus Bond Fund 26.98240 28-06-2021 0.04 0.13 LIC Child Fortune Plus Growth Fund 46.10310 28-06-2021 -0.02 -0.04 LIC Child Fortune Plus Secured Fund 37.75980 28-06-2021 0.02 0.06 LIC Endowment Plus Balanced Fund 24.64060 28-06-2021 […]
  • 25-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.51300 25-06-2021 0.20 0.58 LIC Child Fortune Plus Bond Fund 26.94650 25-06-2021 -0.02 -0.08 LIC Child Fortune Plus Growth Fund 46.12080 25-06-2021 0.20 0.44 LIC Child Fortune Plus Secured Fund 37.73880 25-06-2021 0.14 0.38 LIC Endowment Plus Balanced Fund 24.66590 25-06-2021 […]
  • 24-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.31270 24-06-2021 0.07 0.20 LIC Child Fortune Plus Bond Fund 26.96900 24-06-2021 0.01 0.05 LIC Child Fortune Plus Growth Fund 45.92030 24-06-2021 0.13 0.28 LIC Child Fortune Plus Secured Fund 37.59760 24-06-2021 0.06 0.17 LIC Endowment Plus Balanced Fund 24.50330 24-06-2021 […]
  • 23-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.24490 23-06-2021 -0.13 -0.37 LIC Child Fortune Plus Bond Fund 26.95540 23-06-2021 -0.03 -0.13 LIC Child Fortune Plus Growth Fund 45.79330 23-06-2021 -0.17 -0.36 LIC Child Fortune Plus Secured Fund 37.53320 23-06-2021 -0.10 -0.26 LIC Endowment Plus Balanced Fund 24.38960 23-06-2021 […]
  • 21-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.34390 21-06-2021 0.07 0.20 LIC Child Fortune Plus Bond Fund 27.06380 21-06-2021 0.02 0.07 LIC Child Fortune Plus Growth Fund 45.79440 21-06-2021 0.14 0.31 LIC Child Fortune Plus Secured Fund 37.59970 21-06-2021 0.08 0.20 LIC Endowment Plus Balanced Fund 24.41230 21-06-2021 […]
  • 18-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.27580 18-06-2021 -0.43 -1.25 LIC Child Fortune Plus Bond Fund 27.04450 18-06-2021 0.01 0.04 LIC Child Fortune Plus Growth Fund 45.65250 18-06-2021 -0.64 -1.38 LIC Child Fortune Plus Secured Fund 37.52290 18-06-2021 -0.33 -0.88 LIC Endowment Plus Balanced Fund 24.36140 18-06-2021 […]
  • 15-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.71020 15-06-2021 -0.08 -0.23 LIC Child Fortune Plus Bond Fund 27.03280 15-06-2021 -0.05 -0.18 LIC Child Fortune Plus Growth Fund 46.28900 15-06-2021 -0.06 -0.13 LIC Child Fortune Plus Secured Fund 37.85740 15-06-2021 -0.08 -0.22 LIC Endowment Plus Balanced Fund 24.64600 15-06-2021 […]
  • 11-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.78930 11-06-2021 0.17 0.49 LIC Child Fortune Plus Bond Fund 27.08040 11-06-2021 0.03 0.11 LIC Child Fortune Plus Growth Fund 46.35010 11-06-2021 0.19 0.42 LIC Child Fortune Plus Secured Fund 37.93940 11-06-2021 0.16 0.43 LIC Endowment Plus Balanced Fund 24.60390 11-06-2021 […]
  • 10-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.61970 10-06-2021 0.18 0.51 LIC Child Fortune Plus Bond Fund 27.05010 10-06-2021 0.04 0.13 LIC Child Fortune Plus Growth Fund 46.15560 10-06-2021 0.19 0.42 LIC Child Fortune Plus Secured Fund 37.77810 10-06-2021 0.14 0.37 LIC Endowment Plus Balanced Fund 24.52650 10-06-2021 […]
  • 07-06-2021
    ULIP NAV (Rs Unit) Date Chg % Chg LIC Child Fortune Plus Balanced Fund 34.57800 07-06-2021 0.11 0.33 LIC Child Fortune Plus Bond Fund 26.99200 07-06-2021 0.04 0.13 LIC Child Fortune Plus Growth Fund 46.12870 07-06-2021 0.24 0.53 LIC Child Fortune Plus Secured Fund 37.72790 07-06-2021 0.13 0.34 LIC Endowment Plus Balanced Fund 24.57610 07-06-2021 […]
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