LIC New Endowment Plus NAV

LIC New Endowment Plus NAV Today

DateBond FundSecured FundBalanced FundGrowth FundDiscontinued Policy Fund
07/06/202418.806724.623226.042627.157918.5951
06/06/202418.790924.329425.650326.731518.5789
05/06/202418.772524.186025.491226.527918.5597
04/06/202418.764723.764524.906225.889618.5435
03/06/202418.825724.497925.895826.995418.6129
02/06/202418.825724.497925.895826.995418.6129
01/06/202418.825724.497925.895826.995418.6129
31/05/202418.791624.078725.326026.372918.5734
22/03/202418.519723.420024.299025.368418.2981
21/03/202418.522923.376424.219225.297218.3145
20/03/202418.513723.225524.020025.112418.2835
19/03/202418.507523.223224.026925.108818.2865
18/03/202418.524723.419224.231225.361118.2982
17/03/202418.524723.419224.231225.361118.2982
16/03/202418.524723.419224.231225.361118.2982
15/03/202418.533523.363124.137125.307818.3124
14/03/202418.536623.444224.235725.441818.3188
13/03/202418.536323.275324.062325.222918.3162
12/03/202418.534023.565024.442425.616318.3191
11/03/202418.539723.639824.532625.691418.3271
10/03/202418.539723.639824.532625.691418.3271
09/03/202418.539723.639824.532625.691418.3271
08/03/202418.539723.639824.532625.691418.3271
07/03/202418.504223.721224.640725.818318.2931
06/03/202418.497223.602624.513325.712818.2783
05/03/202418.484023.541424.461625.644318.2681
04/03/202418.478123.559824.478625.678018.2626
03/03/202418.478123.559824.478625.678018.2626
02/03/202418.478123.559824.478625.678018.2626
01/03/202418.460423.480124.390525.590318.2499
29/02/202418.465623.297124.110225.308018.2422
28/02/202418.453723.235924.049125.255818.2392
27/02/202418.452723.382124.241525.454918.2319
26/02/202418.450023.356724.202425.411318.2344
25/02/202418.450023.356724.202425.411318.2344
24/02/202418.450023.356724.202425.411318.2344
23/02/202418.429523.410424.276225.489218.2159
22/02/202418.443823.443624.299625.512818.2253
21/02/202418.440823.357424.207325.389018.2299
20/02/202418.419323.398724.247525.475218.2096
19/02/202418.419323.398724.247525.475218.2096
18/02/202418.419323.398724.247525.475218.2096
17/02/202418.419323.398724.247525.475218.2096

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