LIC Market Plus NAV

LIC Market Plus NAV

DateBond FundSecured FundBalanced FundGrowth Fund
07/06/202441.898951.062149.470835.5498
06/06/202441.881250.764749.003734.9202
05/06/202432.848133.277736.095045.2871
04/06/202441.762950.287848.200733.8199
03/06/202441.956751.027448.970035.2087
02/06/202441.956751.027448.970035.2087
01/06/202441.956751.027448.970035.2087
31/05/202441.852750.622848.504234.5147
22/03/202441.199149.551648.491533.8148
21/03/202441.225749.453848.450933.7056
20/03/202441.167149.320248.276933.5047
19/03/202441.162149.280748.271733.5330
18/03/202441.179749.577148.692333.8841
17/03/202441.179749.577148.692333.8841
16/03/202441.179749.577148.692333.8841
15/03/2024
14/03/202441.224549.637548.840133.7795
13/03/202441.228649.464748.559533.5694
12/03/202441.242749.652048.808933.9391
11/03/202441.272549.744448.839533.9798
10/03/202441.272549.744448.839533.9798
09/03/202441.272549.744448.839533.9798
08/03/202441.272549.744448.839533.9798
07/03/202441.204649.625448.872134.1242
06/03/202441.169349.705148.781333.9937
05/03/202441.152549.595848.682934.0276
04/03/202441.144149.671148.793534.1255
03/03/202441.144149.671148.793534.1255
02/03/202441.144149.671148.793534.1255
01/03/202441.122949.570248.725034.0428
29/02/202441.078449.447248.512733.7153
28/02/202441.091049.392148.458933.6572
27/02/202441.082049.485048.689233.9399
26/02/202441.090249.426948.589633.8591
25/02/202441.090249.426948.589633.8591
24/02/202441.090249.426948.589633.8591
23/02/202441.028149.442548.684434.0256
22/02/202441.069049.544348.709734.0626
21/02/202441.076949.435748.422533.8077
20/02/202441.038949.258948.536633.9139

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