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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
0.05
0.21

LIC Endowment Plus Bond Fund
24.12750
21-06-2021
0.02
0.09

LIC Endowment Plus Growth Fund
27.24600
21-06-2021
0.04
0.13

LIC Endowment Plus Secured Fund
23.89080
21-06-2021
0.06
0.26

LIC Flexi Plus Debt Fund
20.33550
21-06-2021
0.02
0.09

LIC Flexi Plus Mixed Fund
21.28850
21-06-2021
0.03
0.16

LIC Fortune Plus Balanced Fund
25.61290
21-06-2021
0.07
0.29

LIC Fortune Plus Bond Fund
30.20380
21-06-2021
0.02
0.08

LIC Fortune Plus Growth Fund
25.93900
21-06-2021
0.04
0.17

LIC Fortune Plus Secured Fund
30.62770
21-06-2021
0.04
0.15

LIC Future Plus Balanced
42.61320
21-06-2021
-0.02
-0.04

LIC Future Plus Bond
26.05030
21-06-2021
-0.02
-0.09

LIC Future Plus Growth
56.26740
21-06-2021
0.10
0.17

LIC Future Plus Income
40.00850
21-06-2021
0.01
0.02

LIC Gratuity Plus Balanced Fund
37.18770
21-06-2021
0.04
0.11

LIC Gratuity Plus Bond Fund
32.65260
21-06-2021
-0.00
-0.01

LIC Gratuity Plus Growth Fund
40.99650
21-06-2021
0.05
0.13

LIC Gratuity Plus Income Fund
39.22050
21-06-2021
-0.02
-0.05

LIC Health Plus Fund
29.16690
21-06-2021
0.05
0.16

LIC Health Protection Plus Fund
26.38790
21-06-2021
0.02
0.08

LIC JEEVAN SAATHI PLUS BALANCED FUND
30.79740
21-06-2021
0.10
0.33

LIC JEEVAN SAATHI PLUS BOND FUND
25.56990
21-06-2021
-0.00
-0.02

LIC JEEVAN SAATHI PLUS GROWTH FUND
28.23860
21-06-2021
0.04
0.14

LIC JEEVAN SAATHI PLUS SECURED FUND
29.72210
21-06-2021
-0.02
-0.06

LIC Jeevan Plus Balanced Fund
32.72600
21-06-2021
0.05
0.15

LIC Jeevan Plus Bond Fund
31.84760
21-06-2021
0.02
0.06

LIC Jeevan Plus Growth Fund
51.48070
21-06-2021
0.12
0.24

LIC Jeevan Plus Secured Fund
33.43320
21-06-2021
0.06
0.19

LIC Market Plus Balanced Fund
39.02130
21-06-2021
0.10
0.27

LIC Market Plus Bond Fund
35.56630
21-06-2021
0.01
0.03

LIC Market Plus Growth Fund
24.06960
21-06-2021
0.05
0.19

LIC Market Plus Secured Fund
40.94570
21-06-2021
0.07
0.18

LIC Market Plus-I Balanced Fund
25.24790
21-06-2021
0.02
0.07

LIC Market Plus-I Bond Fund
28.39480
21-06-2021
0.02
0.08

LIC Market Plus-I Growth Fund
28.83850
21-06-2021
0.16
0.55

LIC Market Plus-I Secured Fund
24.24500
21-06-2021
0.05
0.21

LIC Money Plus Balanced Fund
35.99440
21-06-2021
0.05
0.13

LIC Money Plus Bond Fund
32.36660
21-06-2021
0.03
0.09

LIC Money Plus Growth Fund
23.32810
21-06-2021
0.04
0.16

LIC Money Plus Secured Fund
33.37890
21-06-2021
0.04
0.13

LIC Money Plus-I Balanced Fund
36.95070
21-06-2021
0.08
0.22

LIC Money Plus-I Bond Fund
33.55830
21-06-2021
-0.00
-0.00

LIC Money Plus-I Gowth Fund
35.89270
21-06-2021
0.08
0.21

LIC Money Plus-I Secured Fund
38.26670
21-06-2021
0.04
0.11

LIC New Endowment Plus Balanced Fund
18.22630
21-06-2021
0.05
0.25

LIC New Endowment Plus Bond Fund
16.29260
21-06-2021
0.01
0.09

LIC New Endowment Plus Growth Fund
18.59920
21-06-2021
0.04
0.21

LIC New Endowment Plus Secured Fund
17.97510
21-06-2021
0.03
0.18

LIC Pension Plus Debt Fund
22.79930
21-06-2021
0.06
0.26

LIC Pension Plus Mixed Fund
24.30620
21-06-2021
0.05
0.19

LIC Profit Plus Balanced Fund
37.87940
21-06-2021
0.08
0.21

LIC Profit Plus Bond Fund
32.68770
21-06-2021
0.06
0.19

LIC Profit Plus Growth Fund
22.85300
21-06-2021
0.02
0.11

LIC Profit Plus Secured Fund
35.83930
21-06-2021
0.08
0.23

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