Life Insurance Corporation of India

Category
  
LIC of India - Money Plus Growth Category Equity - Other Latest NAV 36.9123 NAV Date Sep 13, 2024
LIC of India - Jeevan Plus Secure Category Conservative Allocation Latest NAV 43.2219 NAV Date Sep 13, 2024
LIC of India - Market Plus Balanced Category Balanced Allocation Latest NAV 52.5812 NAV Date Sep 13, 2024
LIC of India - Future Plus Balanced Category Balanced Allocation Latest NAV 56.6246 NAV Date Sep 13, 2024
LIC of India - Wealth Plus Category Aggressive Allocation Latest NAV 16.4130 NAV Date May 12, 2018
LIC of India - Child Fortune Plus Secure Category Conservative Allocation Latest NAV 53.4354 NAV Date Sep 13, 2024
LIC of India - Market Plus Secure Category Conservative Allocation Latest NAV 53.0606 NAV Date Sep 13, 2024
LIC of India - Jeevan Plus Bond Category Other Bond Latest NAV 37.6166 NAV Date Sep 13, 2024
LIC of India - Jeevan Plus Balanced Category Balanced Allocation Latest NAV 42.4412 NAV Date Sep 13, 2024
LIC of India - Future Plus Growth Category Aggressive Allocation Latest NAV 82.2820 NAV Date Sep 13, 2024
LIC of India - Gratuity Plus Balanced Category Group Allocation Latest NAV 49.9870 NAV Date Sep 13, 2024
LIC of India - Fortune Plus Balanced Category Balanced Allocation Latest NAV 38.9661 NAV Date Sep 13, 2024
LIC of India - Market Plus Bond Category Other Bond Latest NAV 43.0734 NAV Date Sep 13, 2024
LIC of India - Profit Plus Secure Category Balanced Allocation Latest NAV 50.3629 NAV Date Sep 13, 2024
LIC of India - Market Plus I - Bond Category Other Bond Latest NAV 33.8481 NAV Date Sep 13, 2024
LIC of India - Profit Plus Bond Category Other Bond Latest NAV 38.7768 NAV Date Sep 13, 2024
LIC of India - Profit Plus Balanced Category Balanced Allocation Latest NAV 57.7794 NAV Date Sep 13, 2024
LIC of India - Child Fortune Plus Bond Category Other Bond Latest NAV 32.3158 NAV Date Sep 13, 2024
LIC of India - Samridhi Plus Category Aggressive Allocation Latest NAV 23.6048 NAV Date May 25, 2021
LIC of India - Health Plus Category Conservative Allocation Latest NAV 39.9649 NAV Date Sep 13, 2024
LIC of India - Gratuity Plus Bond Category Group Bond Latest NAV 38.5333 NAV Date Sep 13, 2024
LIC of India - Jeevan Plus Growth Category Aggressive Allocation Latest NAV 75.3349 NAV Date Sep 13, 2024
LIC of India - Market Plus Growth Category Equity - Other Latest NAV 38.1018 NAV Date Sep 13, 2024
LIC of India - Jeevan Saathi Plus Balanced Category Balanced Allocation Latest NAV 44.0184 NAV Date Sep 13, 2024
LIC of India - Market Plus I - Balanced Category Balanced Allocation Latest NAV 39.1350 NAV Date Sep 13, 2024
LIC of India - Profit Plus Growth Category Aggressive Allocation Latest NAV 37.3776 NAV Date Sep 13, 2024
LIC of India - Jeevan Saathi Plus Bond Category Other Bond Latest NAV 30.3702 NAV Date Sep 13, 2024
LIC of India - Future Plus Income Category Conservative Allocation Latest NAV 51.9749 NAV Date Sep 13, 2024
LIC of India - Child Fortune Plus Growth Category Aggressive Allocation Latest NAV 70.2732 NAV Date Sep 13, 2024
LIC of India - Gratuity Plus Growth Category Group Allocation Latest NAV 58.7774 NAV Date Sep 13, 2024
LIC of India - Endowment Plus Bond Category Other Bond Latest NAV 29.1469 NAV Date Sep 13, 2024
LIC of India - Fortune Plus Secure Category Conservative Allocation Latest NAV 45.4214 NAV Date Sep 13, 2024
LIC of India - Endowment Plus Balanced Category Conservative Allocation Latest NAV 36.2612 NAV Date Sep 13, 2024
LIC of India - Jeevan Saathi Plus Secure Category Balanced Allocation Latest NAV 41.1875 NAV Date Sep 13, 2024
LIC of India - Endowment Plus Secure Category Conservative Allocation Latest NAV 34.4619 NAV Date Sep 13, 2024
LIC of India - Market Plus I - Secure Category Balanced Allocation Latest NAV 36.1349 NAV Date Sep 13, 2024
LIC of India - Future Plus Bond Category Other Bond Latest NAV 31.5766 NAV Date Sep 13, 2024
LIC of India - Money Plus Balanced Category Balanced Allocation Latest NAV 50.0666 NAV Date Sep 13, 2024
LIC of India - Endowment Plus Growth Category Balanced Allocation Latest NAV 43.8095 NAV Date Sep 13, 2024
LIC of India - Health Protection Plus Category Conservative Allocation Latest NAV 36.4193 NAV Date Sep 13, 2024
LIC of India - Money Plus Secure Category Conservative Allocation Latest NAV 43.2052 NAV Date Sep 13, 2024
LIC of India - Fortune Plus Bond Category Other Bond Latest NAV 35.5903 NAV Date Sep 13, 2024
LIC of India - Market Plus I - Growth Category Aggressive Allocation Latest NAV 49.4840 NAV Date Sep 13, 2024
LIC of India - Gratuity Plus Income Category Group Allocation Latest NAV 50.3540 NAV Date Sep 13, 2024
LIC of India - Money Plus I - Secure Category Conservative Allocation Latest NAV 56.4795 NAV Date Sep 13, 2024
LIC of India - Money Plus I - Growth Category Aggressive Allocation Latest NAV 59.8569 NAV Date Sep 13, 2024
LIC of India - Child Fortune Plus Balanced Category Balanced Allocation Latest NAV 49.0203 NAV Date Sep 13, 2024
LIC of India - Fortune Plus Growth Category Aggressive Allocation Latest NAV 38.5218 NAV Date Sep 13, 2024
LIC of India - Money Plus I -Bond Category Other Bond Latest NAV 40.5314 NAV Date Sep 13, 2024
LIC of India - Money Plus I - Balanced Category Balanced Allocation Latest NAV 54.7835 NAV Date Sep 13, 2024
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Company: Morningstar India Private Limited; Regd. Office: 9th floor, Platinum Technopark, Plot No. 17/18, Sector 30A, Vashi, Navi Mumbai – 400705, Maharashtra, India; CIN: U72300MH2004PTC245103; Telephone No.: +91-22-61217100; Fax No.: +91-22-61217200; Contact: Morningstar India Help Desk (e-mail: helpdesk.in@morningstar.com) in case of queries or grievances.
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