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Life Insurance Corporation of India
Filter Criteria
Category:
--Please Select--
Aggressive Allocation
Balanced Allocation
Conservative Allocation
Equity - Other
Group Allocation
Group Bond
Other Bond
Total Funds:
53
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3
Fund Name
Category
Latest NAV
NAV Date
LIC of India - Future Plus Income
Conservative Allocation
38.7168
24/02/2021
LIC of India - Future Plus Balanced
Balanced Allocation
41.3654
24/02/2021
LIC of India - Jeevan Plus Bond
Other Bond
30.9334
24/02/2021
LIC of India - Market Plus Balanced
Balanced Allocation
37.1369
24/02/2021
LIC of India - Market Plus Secure
Conservative Allocation
38.9193
24/02/2021
LIC of India - Market Plus Growth
Equity - Other
22.7436
24/02/2021
LIC of India - Fortune Plus Balanced
Balanced Allocation
24.3011
24/02/2021
LIC of India - Fortune Plus Secure
Conservative Allocation
29.0469
24/02/2021
LIC of India - Profit Plus Bond
Other Bond
31.7787
24/02/2021
LIC of India - Fortune Plus Growth
Aggressive Allocation
24.7223
24/02/2021
LIC of India - Gratuity Plus Balanced
Group Allocation
35.3882
24/02/2021
LIC of India - Health Plus
Conservative Allocation
27.9731
24/02/2021
LIC of India - Money Plus I - Balanced
Balanced Allocation
35.2781
24/02/2021
LIC of India - Market Plus I - Secure
Balanced Allocation
22.9251
24/02/2021
LIC of India - Market Plus I - Bond
Other Bond
27.5916
24/02/2021
LIC of India - Market Plus I - Growth
Aggressive Allocation
26.8727
24/02/2021
LIC of India - Child Fortune Plus Balanced
Balanced Allocation
32.0609
24/02/2021
LIC of India - Jeevan Saathi Plus Bond
Other Bond
24.8169
24/02/2021
LIC of India - Health Protection Plus
Conservative Allocation
25.5612
24/02/2021
LIC of India - Jeevan Saathi Plus Balanced
Balanced Allocation
28.4476
24/02/2021
LIC of India - Gratuity Plus Income
Group Bond
37.6675
24/02/2021
LIC of India - Endowment Plus Bond
Other Bond
23.3376
24/02/2021
LIC of India - Endowment Plus Secure
Conservative Allocation
22.5664
24/02/2021
LIC of India - Endowment Plus Growth
Balanced Allocation
25.8796
24/02/2021
LIC of India - Samridhi Plus
Aggressive Allocation
23.1616
24/02/2021
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