Friday, March 20, 2009

*** LIC 's NAV of PROFIT PLUS (188) as on DATE_20.03.2009.........

PROFIT PLUS (188)

BOND FUND
10
11.8070
11.8070
11.8070
SECURED FUND
10
8.8259
8.8259
8.8259
BALANCED FUND
10
8.6009
8.6009
8.6009
GROWTH FUND
10
7.3788
7.3788
7.3788

No comments: