×
Login
New User
/
Forgot Password
×
Register
By logging in you agree to our
Terms
and
Conditions
and
Privacy Policy
MEMBER LOGIN
New User ?
Forgot Password ?
Toggle navigation
Home
Know Us
About Us
Photo Gallery
Awards
Certificates
Client Testimonials
Information
Product Info
Tax Info
LIC Home Loans
Articles
LIC Related Info
Bonus
Newsletter
Industry News
NAVs
Mutual Fund NAVs
LIC NAVs
Learning Center
Tax Guide
Insurance Guide
FAQs
Glossary
TPA
Online Tools
Calculators
Counsellor
Portfolio
Forms
eGreetings
Policy Details
Online Payment
Policy Capture
Videos
NRI Centre
Insurance Plan
Forms Download
Procedure
FAQs
Contact Us
Home » Information » NAVs » LIC NAVs
back
Share
Tweet
NAV FOR THE DAY
NAV FOR THE DATE : 22/01/2021
Plan Name(Number)
Launch Date
Fund
Face Value
NAV as on date
Repurchase Value
Sale Value
FUTURE PLUS (172)
Launch Date:
04/03/2005
Balanced
10.00
40.7845
40.7845
40.7845
Bond
10.00
25.7639
25.7639
25.7639
Growth
10.00
52.3535
52.3535
52.3535
Income
10.00
38.6660
38.6660
38.6660
JEEVAN PLUS (173)
Launch Date:
18/10/2005
Balanced
10.00
30.9351
30.9351
30.9351
Bond
10.00
31.6139
31.6139
31.6139
Growth
10.00
48.4431
48.4431
48.4431
Secured
10.00
32.1709
32.1709
32.1709
MONEY PLUS (180)
Launch Date:
20/12/2006
Balanced
10.00
33.9360
33.9360
33.9360
Bond
10.00
31.9789
31.9789
31.9789
Growth
10.00
21.7092
21.7092
21.7092
Secured
10.00
32.2252
32.2252
32.2252
MARKET PLUS (181)
Launch Date:
05/07/2006
Balanced
10.00
36.9603
36.9603
36.9603
Bond
10.00
35.0797
35.0797
35.0797
Growth
10.00
22.0028
22.0028
22.0028
Secured
10.00
39.2725
39.2725
39.2725
FORTUNE PLUS (187)
Launch Date:
23/08/2007
Balanced
10.00
23.6662
23.6662
23.6662
Bond
10.00
29.8616
29.8616
29.8616
Growth
10.00
23.7717
23.7717
23.7717
Secured
10.00
28.0922
28.0922
28.0922
PROFIT PLUS (188)
Launch Date:
23/08/2007
Balanced
10.00
34.2386
34.2386
34.2386
Bond
10.00
32.1124
32.1124
32.1124
Growth
10.00
20.7356
20.7356
20.7356
Secured
10.00
33.1189
33.1189
33.1189
MARKET PLUS - I (191)
Launch Date:
17/06/2008
Balanced
10.00
23.5509
23.5509
23.5509
Bond
10.00
27.9182
27.9182
27.9182
Growth
10.00
25.8746
25.8746
25.8746
Secured
10.00
22.5790
22.5790
22.5790
MONEY PLUS - I (193)
Launch Date:
22/05/2008
Balanced
10.00
34.0124
34.0124
34.0124
Bond
10.00
33.1752
33.1752
33.1752
Growth
10.00
33.2766
33.2766
33.2766
Secured
10.00
36.6865
36.6865
36.6865
CHILD FORTUNE PLUS (194)
Launch Date:
01/11/2008
Balanced
10.00
31.6040
31.6040
31.6040
Bond
10.00
26.7518
26.7518
26.7518
Growth
10.00
42.3853
42.3853
42.3853
Secured
10.00
35.1399
35.1399
35.1399
JEEVAN SAATHI PLUS (197)
Launch Date:
29/06/2009
Balanced
10.00
28.3538
28.3538
28.3538
Bond
10.00
25.3874
25.3874
25.3874
Growth
10.00
26.7754
26.7754
26.7754
Secured
10.00
27.8664
27.8664
27.8664
ENDOWMENT PLUS (802)
Launch Date:
20/09/2010
Balanced
10.00
22.6364
22.6364
22.6364
Bond
10.00
23.8130
23.8130
23.8130
Growth
10.00
25.0440
25.0440
25.0440
Secured
10.00
21.8353
21.8353
21.8353
PENSION PLUS (803)
Launch Date:
02/09/2010
Debt
10.00
22.5149
22.5149
22.5149
Mixed
10.00
22.7634
22.7634
22.7634
SAMRIDHI PLUS (804)
Launch Date:
25/02/2011
Samridhi Plus
10.00
22.6719
22.6719
22.6719
FLEXI PLUS (811)
Launch Date:
02/01/2013
Debt_Fund
10.00
20.0912
20.0912
20.0912
Mixed_Fund
10.00
20.5120
20.5120
20.5120
NEW ENDOWMENT PLUS (835)
Launch Date:
19/08/2015
Balanced
10.00
16.6625
16.6625
16.6625
Bond
10.00
16.1438
16.1438
16.1438
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
16.0097
16.0097
16.0097
Growth
10.00
17.0007
17.0007
17.0007
Secured
10.00
16.7159
16.7159
16.7159
LIC'S NIVESH PLUS (849)
Launch Date:
02/03/2020
Balanced
ULIF003241218LICULIP+BAL512
10.00
12.5082
12.5082
12.5082
Bond
ULIF001241218LICULIP+BND512
10.00
10.6038
10.6038
10.6038
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
16.0097
16.0097
16.0097
Growth
ULIF004241218LICULIP+GRW512
10.00
13.9909
13.9909
13.9909
Secured
ULIF002241218LICULIP+SEC512
10.00
11.7600
11.7600
11.7600
HEALTH PLUS (901)
Launch Date:
04/02/2008
Health Plus
10.00
27.6829
27.6829
27.6829
HEALTH PROTECTION PLUS (902)
Launch Date:
29/04/2009
Health Protection Plus
10.00
25.6799
25.6799
25.6799
*All NAV data is sourced from
www.licindia.in
. The data provided is for your reference only.
Always reconfirm with your financial advisor before taking any investment decision.