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  1. May 6, 2023 · Plan NAV; Plan NAV . ULIP Periodical Disclosure NAV History. Last modified date : Fri, 25 Aug 2023 06:00:32 +0000. Menu Display ... LIC Mutual Fund Trustee Private Limited; LIC Mutual Fund Asset Management Limited; LIC Housing Finance Limited; LICHFL Asset Management Company Limited ... [at]licindia[dot]com Content on this website is published and managed by Life Insurance Corporation of India. Corporate Office: Yogakshema Building, Jeevan Bima Marg, P.O. Box No – 19953, Mumbai – 400 021 ...

  2. Stay informed on the latest NAV updates for your investments with LIC MF. Get accurate & reliable NAV data for a wide range of mutual funds to help you make informed investment decisions. Start tracking your portfolio now and maximize your returns.

  3. Jul 5, 2024 · NAV Chart. LIC Money Plus Growth Fund: Get the Latest NAV Value, Performance and Returns of LIC Money Plus Growth Fund. Life Insurance Corporation of India India Insurance ULIP...

  4. Explore LIC NAV history to track net asset value trends for informed investment decisions. Stay updated on fund performance and make strategic investment choices.

  5. 6 days ago · 1. Current NAV: The Current Net Asset Value of the LIC MF Large Cap Fund as of Jul 03, 2024 is Rs 55.20 for Growth option of its Regular plan. 2. Returns: Its trailing returns over different time periods are: 28.29% (1yr), 15.35% (3yr), 16.43% (5yr) and 6.05% (since launch).

  6. Nov 2, 2022 · Get latest NAV, Returns, SIP Returns, Performance, Ranks, Dividends, Portfolio, CRISIL Rank, Expert Recommendations, and Comparison with gold, stock,ULIP etc. Calculate SIP, VIP Returns. Now ...

  7. Jul 5, 2024 · LIC NIVESH PLUS - Growth: Get the Latest NAV Value, Performance and Returns of LIC NIVESH PLUS - Growth. Life Insurance Corporation of India India Insurance ULIP Plans.

  8. Jul 5, 2024 · LIC of India - Endowment Plus Growth Category Balanced Allocation Latest NAV 42.1025

  9. Quote. There is no data available for this component. Overview Portfolio Detailed Portfolio Performance Risk & Rating. There is no growth data available.

  10. Jul 5, 2024 · Current NAV: The Current Net Asset Value of the LIC MF Focused Fund - Direct Plan as of Jun 24, 2024 is Rs 22.36 for Growth option of its Direct plan. 2. Returns: Its trailing returns over different time periods are: 27.9% (1yr), 16.51% (3yr), 16.84% (5yr) and 12.97% (since launch).