Life Insurance Corporation of India

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Total Funds: 53   
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Fund Name
Category
Latest NAV
NAV Date
Other Bond
27.9207
18/02/2020
Conservative Allocation
34.3002
18/02/2020
Balanced Allocation
32.4689
18/02/2020
Aggressive Allocation
45.1150
18/02/2020
Other Bond
29.3618
18/02/2020
Balanced Allocation
28.1028
18/02/2020
Conservative Allocation
29.2631
18/02/2020
Other Bond
32.6108
18/02/2020
Aggressive Allocation
42.5333
18/02/2020
Balanced Allocation
31.8310
18/02/2020
Conservative Allocation
34.7211
18/02/2020
Other Bond
29.5469
18/02/2020
Multi-Cap
19.9997
18/02/2020
Balanced Allocation
27.4042
18/02/2020
Conservative Allocation
28.3317
18/02/2020
Other Bond
27.4295
18/02/2020
Multi-Cap
18.8916
18/02/2020
Balanced Allocation
19.9357
18/02/2020
Conservative Allocation
23.8323
18/02/2020
Other Bond
29.5154
18/02/2020
Aggressive Allocation
20.6088
18/02/2020
Balanced Allocation
28.2523
18/02/2020
Balanced Allocation
27.5901
18/02/2020
Group Bond
29.7962
18/02/2020
Aggressive Allocation
17.3953
18/02/2020
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