LIC NAV of the day – NAV Value today

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LIC NAV (NET ASSET VALUE)

What is LIC NAV

In order to understand the concept of LIC’s NAV, we first need to look into the meaning of NAV:

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NAV, or to be precise, Net Asset Value is the value of an entity’s assets minus the value of its liabilities.

The LIC NAV is being made accessible for all Unit Linked policies (ULIPs).

In this particular Webpage, we offer you the NAV (Net Asset Value) of LIC for all Unit Linked policy plans. Plans falling under LIC in regard of which LIC is offering NAV are as follows :

  1. Bima Plus,
  2. LIC Future Plus NAV,
  3. Jeevan Plus,
  4. LIC Money Plus NAV,
  5. Market Plus, Fortune Plus,
  6. LIC Profit Plus NAV,
  7. LIC Market Plus-1 NAV,
  8. LIC Child Fortune Plus NAV,
  9. Jeevan Sathi Plus,
  10. Wealth Plus,
  11. LIC Endowment Plus NAV,
  12. Pension plus,
  13. Samridhi Plus,
  14. Flexi plus,
  15. Health plus,
  16. Health protection plus.

Life Insurance Corporation of India’s Net Asset Value History will be made accessible in this very website. LIC Net Asset Value History for all Unit Linked policy plans will be accessible to you.

LIC Net Asset Value Value will be showcased individually for all plans. LIC is offering the most recent LIC Net Asset Value for all plans. One can verify LIC Net Asset Value Rate, Net Asset Value of LIC using the most up – to – date Life Insurance Corporation of India Net Asset Value of the day accessible on the website.

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