Thursday, May 7, 2009

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

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

BOND FUND

10

12.5980

12.5980

12.5980

SECURED FUND

10

11.4423

11.4423

11.4423

BALANCED FUND

10

10.8061

10.8061

10.8061

GROWTH FUND

10

8.9681

8.9681

8.9681

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