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.

Read : How to link Aadhar with PAN

 

23.2215

Bond

ULIF001230807LICPFT+BND512

10.00

21.6201

21.6201

21.6201

Growth

ULIF004230807LICPFT+GRW512

10.00

14.6784

14.6784

14.6784

Secured

ULIF002230807LICPFT+SEC512

10.00

21.2763

21.2763

21.2763

MARKET PLUS - I (191) Launch Date:17/06/2008

Balanced

ULIF003170608LICMK1+BAL512

10.00

15.4317

15.4317

15.4317

Bond

ULIF001170608LICMK1+BND512

10.00

19.3689

19.3689

19.3689

Growth

ULIF004170608LICMK1+GRW512

10.00

17.7150

17.7150

17.7150

Secured

ULIF002170608LICMK1+SEC512

10.00

15.2148

15.2148

15.2148

MONEY PLUS - I (193) Launch Date:22/05/2008

Balanced

ULIF003220508LICMY1+BAL512

10.00

20.6585

20.6585

20.6585

Bond

ULIF001220508LICMY1+BND512

10.00

21.1985

21.1985

21.1985

Growth

ULIF004220508LICMY1+GRW512

10.00

21.3195

21.3195

21.3195

Secured

ULIF002220508LICMY1+SEC512

10.00

23.2354

23.2354

23.2354

CHILD FORTUNE PLUS (194) Launch Date:01/11/2008

Balanced

ULIF003011108LICCHF+BAL512

10.00

20.5812

20.5812

20.5812

Bond

ULIF001011108LICCHF+BND512

10.00

18.0927

18.0927

18.0927

Growth

ULIF004011108LICCHF+GRW512

10.00

24.8524

24.8524

24.8524

Secured

ULIF002011108LICCHF+SEC512

10.00

23.1640

23.1640

23.1640

JEEVAN SAATHI PLUS (197) Launch Date:29/06/2009

Balanced

ULIF003290609LICJST+BAL512

10.00

15.1494

15.1494

15.1494

Bond

ULIF001290609LICJST+BND512

10.00

17.1235

17.1235

17.1235

Growth

ULIF004290609LICJST+GRW512

10.00

15.1809

15.1809

15.1809

Secured

ULIF002290609LICJST+SEC512

10.00

16.7441

16.7441

16.7441

WEALTH PLUS (801) Launch Date:09/02/2010

WealthPlus

ULIF001090210LICWLT+FND512

10.00

12.9495

12.9495

12.9495

ENDOWMENT PLUS (802) Launch Date:20/09/2010

Balanced

ULIF003200910LICEND+BAL512

10.00

14.7410

14.7410

14.7410

Bond

ULIF001200910LICEND+BND512

10.00

16.3719

16.3719

16.3719

Growth

ULIF004200910LICEND+GRW512

10.00

15.7803

15.7803

15.7803

Secured

ULIF002200910LICEND+SEC512

10.00

14.6176

14.6176

14.6176

PENSION PLUS (803) Launch Date:02/09/2010

Debt

ULIF001020910LICPEN+DBT512

10.00

16.3773

16.3773

16.3773

Mixed

ULIF002020910LICPEN+MIX512

10.00

14.7086

14.7086

14.7086

SAMRIDHI PLUS (804) Launch Date:25/02/2011

Samridhi Plus

ULIF001250211LICSMD+FND512

10.00

15.4701

15.4701

15.4701

FLEXI PLUS (811) Launch Date:02/01/2013

Debt_Fund

ULIF001180912LICFLX+DBT512

10.00

13.5283

13.5283

13.5283

Mixed_Fund

ULIF002180912LICFLX=+MIX512

10.00

13.5254

13.5254

13.5254

NEW ENDOWMENT PLUS (835) Launch Date:19/08/2015

Balanced

ULIF003201114LICNED+BAL512

10.00

10.9933

10.9933

10.9933

Bond

ULIF001201114LICNED+BND512

10.00

10.7570

10.7570

10.7570

Growth

ULIF004201114LICNED+GRW512

10.00

11.0991

11.0991

11.0991

Secured

ULIF002201114LICNED+SEC512

10.00

10.9183

10.9183

10.9183

HEALTH PLUS (901) Launch Date:04/02/2008

Health Plus

ULIF001040208LICHLT+FND512

10.00

17.7817

17.7817

17.7817

HEALTH PROTECTION PLUS (902) Launch Date:29/04/2009

Health Protection Plus

ULIF001290409LICHPR+FND512

10.00

17.2866

17.2866

17.2866

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