Thursday, May 7, 2009

***LIC's Plan NAV as on date :06/05/2009...........

PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007

BOND FUND

10

12.4324

12.4324

12.4324

SECURED FUND

10

9.8779

9.8779

9.8779

BALANCED FUND

10

9.7901

9.7901

9.7901

GROWTH FUND

10

8.6434

8.6434

8.6434

No comments: