LIC Future Plus NAV

LIC Future Plus NAV

DateBond FundIncome FundBalanced FundGrowth Fund
07/06/202430.833249.954254.453077.0264
06/06/202430.810749.679754.048576.0429
05/06/202430.777749.581453.879575.6650
04/06/202430.770949.247253.400774.3116
03/06/202430.812449.762054.224976.1808
02/06/202430.812449.762054.224976.1808
01/06/202430.812449.762054.224976.1808
31/05/202430.791949.486753.784375.0776
30/05/202430.792849.466353.759475.0316
22/03/202430.392348.408652.607673.0215
21/03/202430.423248.381352.614572.8923
20/03/202430.404148.287552.476872.5049
19/03/202430.394948.282752.485672.5669
18/03/202430.390048.441852.693773.1247
17/03/202430.390048.441852.693773.1247
16/03/202430.390048.441852.693773.1247
15/03/202430.395948.436052.649872.9844
14/03/202430.394948.485852.762673.3061
13/03/202430.397448.357452.608072.9807
12/03/202430.397048.480852.838373.5632
11/03/202430.398048.532752.896573.6853
10/03/202430.398048.532752.896573.6853
09/03/202430.398048.532752.896573.6853
08/03/202430.398048.532752.896573.6853
07/03/202430.367148.484852.930773.8395
06/03/202430.361148.499152.883173.7247

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