Tuesday, May 6, 2008

*-----Dated 04.05.2008 NAV of LIC's ULIPs.........

NAV'S AS ON DATE 04.05.2008

1.BASIC UNIT VALUE
2.NAV AS ON DATE
3.REPURCHASE VALUE
4.SALE VALUE


BIMA PLUS (140)
DATE OF LAUNCH12.02.2001
SECURED FUND
10
24.8349
23.5932
24.8349
BALANCED FUND
10
31.5140
29.9383
31.5140
RISK FUND
10
44.5026
42.2775
44.5026


FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005
BOND FUND
10
11.7731
11.7731
11.7731
INCOME FUND
10
13.9381
13.9381
13.9381
BALANCED FUND
10
14.5169
14.5169
14.5169
GROWTH FUND
10
18.2930
18.2930
18.2930


JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005
BOND FUND
10
10.9905
10.9905
10.9905
SECURED FUND
10
12.2228
12.2228
12.2228
BALANCED FUND
10
12.4577
12.4577
12.4577
GROWTH FUND
10
17.0952
17.0952
17.0952

MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
10.9260
10.9260
10.9260
SECURED FUND
10
11.1288
11.1288
11.1288
BALANCED FUND
10
10.9345
10.9345
10.9345
GROWTH FUND
10
10.8831
10.8831
10.8831

MARKET PLUS (181)
DATE OF LAUNCH05.07.2006
BOND FUND
10
11.8451
11.8451
11.8451
SECURED FUND
10
11.9647
11.9647
11.9647
BALANCED FUND
10
12.0442
12.0442
12.0442
GROWTH FUND
10
12.5498
12.5498
12.5498


FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
10.3949
10.3949
10.3949
SECURED FUND
10
10.1823
10.1823
10.1823
BALANCED FUND
10
9.9939
9.9939
9.9939
GROWTH FUND
10
9.9398
9.9398
9.9398

PROFIT PLUS (188)

DATE OF LAUNCH23.08.2007
BOND FUND
10
10.3805
10.3805
10.3805
SECURED FUND
10
9.3802
9.3802
9.3802
BALANCED FUND
10
9.6721
9.6721
9.6721
GROWTH FUND
10
9.7798
9.7798
9.7798

GRATUITY PLUS
DATE OF LAUNCH22.06.2006
BOND FUND
10
10.9089
10.9089
10.9089
SECURED FUND
10
11.5778
11.5778
11.5778
BALANCED FUND
10
11.0552
11.0552
11.0552
GROWTH FUND
10
11.1005
11.1005
11.1005

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
10.1593
10.1593
10.1593

NOTE:For more info. Call:09849212164

No comments: