LIC Future Plus NAV
Date | Bond Fund | Income Fund | Balanced Fund | Growth Fund |
07/06/2024 | 30.8332 | 49.9542 | 54.4530 | 77.0264 |
06/06/2024 | 30.8107 | 49.6797 | 54.0485 | 76.0429 |
05/06/2024 | 30.7777 | 49.5814 | 53.8795 | 75.6650 |
04/06/2024 | 30.7709 | 49.2472 | 53.4007 | 74.3116 |
03/06/2024 | 30.8124 | 49.7620 | 54.2249 | 76.1808 |
02/06/2024 | 30.8124 | 49.7620 | 54.2249 | 76.1808 |
01/06/2024 | 30.8124 | 49.7620 | 54.2249 | 76.1808 |
31/05/2024 | 30.7919 | 49.4867 | 53.7843 | 75.0776 |
30/05/2024 | 30.7928 | 49.4663 | 53.7594 | 75.0316 |
22/03/2024 | 30.3923 | 48.4086 | 52.6076 | 73.0215 |
21/03/2024 | 30.4232 | 48.3813 | 52.6145 | 72.8923 |
20/03/2024 | 30.4041 | 48.2875 | 52.4768 | 72.5049 |
19/03/2024 | 30.3949 | 48.2827 | 52.4856 | 72.5669 |
18/03/2024 | 30.3900 | 48.4418 | 52.6937 | 73.1247 |
17/03/2024 | 30.3900 | 48.4418 | 52.6937 | 73.1247 |
16/03/2024 | 30.3900 | 48.4418 | 52.6937 | 73.1247 |
15/03/2024 | 30.3959 | 48.4360 | 52.6498 | 72.9844 |
14/03/2024 | 30.3949 | 48.4858 | 52.7626 | 73.3061 |
13/03/2024 | 30.3974 | 48.3574 | 52.6080 | 72.9807 |
12/03/2024 | 30.3970 | 48.4808 | 52.8383 | 73.5632 |
11/03/2024 | 30.3980 | 48.5327 | 52.8965 | 73.6853 |
10/03/2024 | 30.3980 | 48.5327 | 52.8965 | 73.6853 |
09/03/2024 | 30.3980 | 48.5327 | 52.8965 | 73.6853 |
08/03/2024 | 30.3980 | 48.5327 | 52.8965 | 73.6853 |
07/03/2024 | 30.3671 | 48.4848 | 52.9307 | 73.8395 |
06/03/2024 | 30.3611 | 48.4991 | 52.8831 | 73.7247 |