Friday, March 20, 2009

*** LIC 's NAV of MARKET PLUS (181) as on DATE_20.03.2009.........

MARKET PLUS (181)


BOND FUND
10
13.5037
13.5037
13.5037
SECURED FUND
10
11.4437
11.4437
11.4437
BALANCED FUND
10
10.5737
10.5737
10.5737
GROWTH FUND
10
9.3961
9.3961
9.3961

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