Tuesday, March 31, 2009

*** LIC 's NAV of HEALTH PLUS (901) as on DATE_30.03.2009.........

HEALTH PLUS (901)

HEALTH PLUS FUND
10
9.7190
9.7190
9.7190

*** LIC 's NAV of MARKET PLUS (181) as on DATE_30.03.2009.........

MARKET PLUS (181)

BOND FUND
10
13.4413
13.4413
13.4413
SECURED FUND
10
11.4880
11.4880
11.4880
BALANCED FUND
10
10.7381
10.7381
10.7381
GROWTH FUND
10
9.7348
9.7348
9.7348

*** LIC 's NAV of Money Plus(T-180) AS ON DATE_30.03.2009.........

MONEY PLUS (180)

BOND FUND
10
12.1193
12.1193
12.1193
SECURED FUND
10
10.9148
10.9148
10.9148
BALANCED FUND
10
10.0958
10.0958
10.0958
GROWTH FUND
10
7.9920
7.9920
7.9920

*** LIC 's NAV'S AS ON DATE_30.03.2009.........

NAV'S AS ON DATE_30.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS
SECURED FUND
10
24.0743
22.8705
24.0743
BALANCED FUND
10
26.9681
25.6197
26.9681
RISK FUND
10
33.1994
31.5394
33.1994


FUTURE PLUS (172)
BOND FUND
10
12.9308
12.9308
12.9308
INCOME FUND
10
14.1958
14.1958
14.1958
BALANCED FUND
10
13.9356
13.9356
13.9356
GROWTH FUND
10
15.5092
15.5092
15.5092


JEEVAN PLUS (173)
BOND FUND
10
12.7616
12.7616
12.7616
SECURED FUND
10
12.5950
12.5950
12.5950
BALANCED FUND
10
12.4665
12.4665
12.4665
GROWTH FUND
10
14.1226
14.1226
14.1226





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1193
12.1193
12.1193
SECURED FUND
10
10.9148
10.9148
10.9148
BALANCED FUND
10
10.0958
10.0958
10.0958
GROWTH FUND
10
7.9920
7.9920
7.9920





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.4413
13.4413
13.4413
SECURED FUND
10
11.4880
11.4880
11.4880
BALANCED FUND
10
10.7381
10.7381
10.7381
GROWTH FUND
10
9.7348
9.7348
9.7348





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.6242
11.6242
11.6242
SECURED FUND
10
9.4948
9.4948
9.4948
BALANCED FUND
10
8.6839
8.6839
8.6839
GROWTH FUND
10
8.0500
8.0500
8.0500





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8534
11.8534
11.8534
SECURED FUND
10
9.1018
9.1018
9.1018
BALANCED FUND
10
8.8835
8.8835
8.8835
GROWTH FUND
10
7.6433
7.6433
7.6433

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1188
12.1188
12.1188
INCOME FUND
10
12.3137
12.3137
12.3137
BALANCED FUND
10
10.9400
10.9400
10.9400
GROWTH FUND
10
10.8037
10.8037
10.8037

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.7190
9.7190
9.7190





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0021
12.0021
12.0021
SECURED FUND
10
10.8992
10.8992
10.8992
BALANCED FUND
10
10.6122
10.6122
10.6122
GROWTH FUND
10
9.2187
9.2187
9.2187





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2157
11.2157
11.2157
SECURED FUND
10
9.9379
9.9379
9.9379
BALANCED FUND
10
9.6110
9.6110
9.6110
GROWTH FUND
10
9.4782
9.4782
9.4782
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.1015
10.1015
10.1015
SECURED FUND
10
10.3555
10.3555
10.3555
BALANCED FUND
10
10.2937
10.2937
10.2937
GROWTH FUND
10
10.4894
10.4894
10.4894

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Monday, March 30, 2009

*** LIC 's NAV of MARKET PLUS (181) as on DATE_28.03.2009.........

MARKET PLUS (181)
DATE OF LAUNCH05.07.2006

BOND FUND
10
13.4421
13.4421
13.4421
SECURED FUND
10
11.5349
11.5349
11.5349
BALANCED FUND
10
10.8606
10.8606
10.8606
GROWTH FUND
10
9.9527
9.9527
9.9527

*** LIC 's NAV of Money Plus(T-180) AS ON DATE_28.03.2009.........

MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1121
12.1121
12.1121
SECURED FUND
10
10.9554
10.9554
10.9554
BALANCED FUND
10
10.1862
10.1862
10.1862
GROWTH FUND
10
8.1961
8.1961
8.1961

*** LIC 's NAV'S AS ON DATE_28.03.2009.........

NAV'S AS ON DATE
28.03.2009
EFFECTIVE FOR_28.03.2009

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS
DATE OF LAUNCH12.02.2001

SECURED FUND
10
24.0743
22.8705
24.0743
BALANCED FUND
10
26.9681
25.6197
26.9681
RISK FUND
10
33.1994
31.5394
33.1994





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.9078
12.9078
12.9078
INCOME FUND
10
14.2399
14.2399
14.2399
BALANCED FUND
10
14.0426
14.0426
14.0426
GROWTH FUND
10
15.7378
15.7378
15.7378





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.7722
12.7722
12.7722
SECURED FUND
10
12.6345
12.6345
12.6345
BALANCED FUND
10
12.5258
12.5258
12.5258
GROWTH FUND
10
14.4017
14.4017
14.4017





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1121
12.1121
12.1121
SECURED FUND
10
10.9554
10.9554
10.9554
BALANCED FUND
10
10.1862
10.1862
10.1862
GROWTH FUND
10
8.1961
8.1961
8.1961





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.4421
13.4421
13.4421
SECURED FUND
10
11.5349
11.5349
11.5349
BALANCED FUND
10
10.8606
10.8606
10.8606
GROWTH FUND
10
9.9527
9.9527
9.9527





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.6309
11.6309
11.6309
SECURED FUND
10
9.5423
9.5423
9.5423
BALANCED FUND
10
8.7675
8.7675
8.7675
GROWTH FUND
10
8.1933
8.1933
8.1933





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8581
11.8581
11.8581
SECURED FUND
10
9.2059
9.2059
9.2059
BALANCED FUND
10
9.0335
9.0335
9.0335
GROWTH FUND
10
7.8325
7.8325
7.8325

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1188
12.1188
12.1188
INCOME FUND
10
12.3137
12.3137
12.3137
BALANCED FUND
10
10.9400
10.9400
10.9400
GROWTH FUND
10
10.8037
10.8037
10.8037

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.7901
9.7901
9.7901





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0178
12.0178
12.0178
SECURED FUND
10
11.0261
11.0261
11.0261
BALANCED FUND
10
10.7557
10.7557
10.7557
GROWTH FUND
10
9.4504
9.4504
9.4504





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2351
11.2351
11.2351
SECURED FUND
10
10.0066
10.0066
10.0066
BALANCED FUND
10
9.7144
9.7144
9.7144
GROWTH FUND
10
9.6499
9.6499
9.6499
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.1097
10.1097
10.1097
SECURED FUND
10
10.3866
10.3866
10.3866
BALANCED FUND
10
10.3209
10.3209
10.3209
GROWTH FUND
10
10.7030
10.7030
10.7030

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

NAV'S AS ON DATE
28.03.2009
EFFECTIVE FOR
28.03.2009

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS
DATE OF LAUNCH12.02.2001



SECURED FUND
10
24.0743
22.8705
24.0743
BALANCED FUND
10
26.9681
25.6197
26.9681
RISK FUND
10
33.1994
31.5394
33.1994





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.9078
12.9078
12.9078
INCOME FUND
10
14.2399
14.2399
14.2399
BALANCED FUND
10
14.0426
14.0426
14.0426
GROWTH FUND
10
15.7378
15.7378
15.7378





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.7722
12.7722
12.7722
SECURED FUND
10
12.6345
12.6345
12.6345
BALANCED FUND
10
12.5258
12.5258
12.5258
GROWTH FUND
10
14.4017
14.4017
14.4017





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1121
12.1121
12.1121
SECURED FUND
10
10.9554
10.9554
10.9554
BALANCED FUND
10
10.1862
10.1862
10.1862
GROWTH FUND
10
8.1961
8.1961
8.1961





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.4421
13.4421
13.4421
SECURED FUND
10
11.5349
11.5349
11.5349
BALANCED FUND
10
10.8606
10.8606
10.8606
GROWTH FUND
10
9.9527
9.9527
9.9527





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.6309
11.6309
11.6309
SECURED FUND
10
9.5423
9.5423
9.5423
BALANCED FUND
10
8.7675
8.7675
8.7675
GROWTH FUND
10
8.1933
8.1933
8.1933





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8581
11.8581
11.8581
SECURED FUND
10
9.2059
9.2059
9.2059
BALANCED FUND
10
9.0335
9.0335
9.0335
GROWTH FUND
10
7.8325
7.8325
7.8325

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1188
12.1188
12.1188
INCOME FUND
10
12.3137
12.3137
12.3137
BALANCED FUND
10
10.9400
10.9400
10.9400
GROWTH FUND
10
10.8037
10.8037
10.8037

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.7901
9.7901
9.7901





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0178
12.0178
12.0178
SECURED FUND
10
11.0261
11.0261
11.0261
BALANCED FUND
10
10.7557
10.7557
10.7557
GROWTH FUND
10
9.4504
9.4504
9.4504





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2351
11.2351
11.2351
SECURED FUND
10
10.0066
10.0066
10.0066
BALANCED FUND
10
9.7144
9.7144
9.7144
GROWTH FUND
10
9.6499
9.6499
9.6499
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.1097
10.1097
10.1097
SECURED FUND
10
10.3866
10.3866
10.3866
BALANCED FUND
10
10.3209
10.3209
10.3209
GROWTH FUND
10
10.7030
10.7030
10.7030

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Thursday, March 26, 2009

*** LIC 's NAV of Money Plus(T-180) AS ON DATE_25.03.2009.........

MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1871
12.1871
12.1871
SECURED FUND
10
10.9439
10.9439
10.9439
BALANCED FUND
10
10.1188
10.1188
10.1188
GROWTH FUND
10
7.9733
7.9733
7.9733

*** LIC 's NAV'S AS ON DATE_25.03.2009.........

NAV'S AS ON DATE_25.03.2009

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS
SECURED FUND
10
23.8447
22.6525
23.8447
BALANCED FUND
10
26.4429
25.1208
26.4429
RISK FUND
10
31.7551
30.1674
31.7551





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.9706
12.9706
12.9706
INCOME FUND
10
14.2356
14.2356
14.2356
BALANCED FUND
10
13.9787
13.9787
13.9787
GROWTH FUND
10
15.4242
15.4242
15.4242





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.8252
12.8252
12.8252
SECURED FUND
10
12.6407
12.6407
12.6407
BALANCED FUND
10
12.4838
12.4838
12.4838
GROWTH FUND
10
14.1142
14.1142
14.1142





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1871
12.1871
12.1871
SECURED FUND
10
10.9439
10.9439
10.9439
BALANCED FUND
10
10.1188
10.1188
10.1188
GROWTH FUND
10
7.9733
7.9733
7.9733





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.5423
13.5423
13.5423
SECURED FUND
10
11.4951
11.4951
11.4951
BALANCED FUND
10
10.7365
10.7365
10.7365
GROWTH FUND
10
9.7143
9.7143
9.7143





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.6790
11.6790
11.6790
SECURED FUND
10
9.5027
9.5027
9.5027
BALANCED FUND
10
8.6790
8.6790
8.6790
GROWTH FUND
10
8.0476
8.0476
8.0476





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.9050
11.9050
11.9050
SECURED FUND
10
9.1389
9.1389
9.1389
BALANCED FUND
10
8.9195
8.9195
8.9195
GROWTH FUND
10
7.6425
7.6425
7.6425

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1199
12.1199
12.1199
INCOME FUND
10
12.2823
12.2823
12.2823
BALANCED FUND
10
10.8587
10.8587
10.8587
GROWTH FUND
10
10.6594
10.6594
10.6594

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.7404
9.7404
9.7404





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0541
12.0541
12.0541
SECURED FUND
10
10.8907
10.8907
10.8907
BALANCED FUND
10
10.6070
10.6070
10.6070
GROWTH FUND
10
9.2022
9.2022
9.2022





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2896
11.2896
11.2896
SECURED FUND
10
9.9699
9.9699
9.9699
BALANCED FUND
10
9.6176
9.6176
9.6176
GROWTH FUND
10
9.4498
9.4498
9.4498
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.1805
10.1805
10.1805
SECURED FUND
10
10.3576
10.3576
10.3576
BALANCED FUND
10
10.3083
10.3083
10.3083
GROWTH FUND
10
10.5237
10.5237
10.5237

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Tuesday, March 24, 2009

*** LIC 's NAV of Money Plus(T-180) AS ON DATE_23.03.2009.........

MONEY PLUS (180)
BOND FUND
10
12.2092
12.2092
12.2092
SECURED FUND
10
10.9396
10.9396
10.9396
BALANCED FUND
10
10.1102
10.1102
10.1102
GROWTH FUND
10
7.9057
7.9057
7.9057

*** LIC 's NAV'S AS ON DATE_23.03.2009.........

NAV'S AS ON DATE_23.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS
SECURED FUND
10
23.5597
22.3818
23.5597
BALANCED FUND
10
26.0486
24.7461
26.0486
RISK FUND
10
30.9140
29.3683
30.9140


FUTURE PLUS (172)
BOND FUND
10
12.9700
12.9700
12.9700
INCOME FUND
10
14.2440
14.2440
14.2440
BALANCED FUND
10
13.9694
13.9694
13.9694
GROWTH FUND
10
15.3627
15.3627
15.3627


JEEVAN PLUS (173)
BOND FUND
10
12.5308
12.5308
12.5308
SECURED FUND
10
12.5295
12.5295
12.5295
BALANCED FUND
10
12.4540
12.4540
12.4540
GROWTH FUND
10
14.0360
14.0360
14.0360





MONEY PLUS (180)
BOND FUND
10
12.2092
12.2092
12.2092
SECURED FUND
10
10.9396
10.9396
10.9396
BALANCED FUND
10
10.1102
10.1102
10.1102
GROWTH FUND
10
7.9057
7.9057
7.9057





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.5052
13.5052
13.5052
SECURED FUND
10
11.5116
11.5116
11.5116
BALANCED FUND
10
10.7120
10.7120
10.7120
GROWTH FUND
10
9.6321
9.6321
9.6321





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.4980
11.4980
11.4980
SECURED FUND
10
9.4913
9.4913
9.4913
BALANCED FUND
10
8.6473
8.6473
8.6473
GROWTH FUND
10
7.9687
7.9687
7.9687





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8315
11.8315
11.8315
SECURED FUND
10
8.9421
8.9421
8.9421
BALANCED FUND
10
8.7501
8.7501
8.7501
GROWTH FUND
10
7.5727
7.5727
7.5727

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1199
12.1199
12.1199
INCOME FUND
10
12.2823
12.2823
12.2823
BALANCED FUND
10
10.8587
10.8587
10.8587
GROWTH FUND
10
10.6594
10.6594
10.6594

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.7274
9.7274
9.7274





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.1035
12.1035
12.1035
SECURED FUND
10
10.8592
10.8592
10.8592
BALANCED FUND
10
10.5920
10.5920
10.5920
GROWTH FUND
10
9.1218
9.1218
9.1218





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2121
11.2121
11.2121
SECURED FUND
10
9.9936
9.9936
9.9936
BALANCED FUND
10
9.6033
9.6033
9.6033
GROWTH FUND
10
9.3963
9.3963
9.3963
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.2245
10.2245
10.2245
SECURED FUND
10
10.3605
10.3605
10.3605
BALANCED FUND
10
10.3095
10.3095
10.3095
GROWTH FUND
10
10.4700
10.4700
10.4700

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Monday, March 23, 2009

### Unit plans ........

  • Unit plans are investment plans for those who realise the worth of hard-earned money. These plans help you see your savings yield rich benefits and help you save tax even if you don't have consistent income.

### Life Insurance ........

Life insurance is a contract that pledges payment of an amount to the person assured (or his nominee) on the happening of the event insured against.

***LIC's NAV'S AS ON DATE_21.03.2009.........

NAV'S AS ON DATE_21.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS
DATE OF LAUNCH12.02.2001

SECURED FUND
10
23.5597
22.3818
23.5597
BALANCED FUND
10
26.0486
24.7461
26.0486
RISK FUND
10
30.9140
29.3683
30.9140





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005
BOND FUND
10
12.9665
12.9665
12.9665
INCOME FUND
10
14.1869
14.1869
14.1869
BALANCED FUND
10
13.8646
13.8646
13.8646
GROWTH FUND
10
15.1228
15.1228
15.1228





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.5588
12.5588
12.5588
SECURED FUND
10
12.4912
12.4912
12.4912
BALANCED FUND
10
12.3836
12.3836
12.3836
GROWTH FUND
10
13.7771
13.7771
13.7771





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.2044
12.2044
12.2044
SECURED FUND
10
10.9015
10.9015
10.9015
BALANCED FUND
10
10.0253
10.0253
10.0253
GROWTH FUND
10
7.6897
7.6897
7.6897





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.5008
13.5008
13.5008
SECURED FUND
10
11.4433
11.4433
11.4433
BALANCED FUND
10
10.5803
10.5803
10.5803
GROWTH FUND
10
9.4020
9.4020
9.4020





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.4953
11.4953
11.4953
SECURED FUND
10
9.4416
9.4416
9.4416
BALANCED FUND
10
8.5549
8.5549
8.5549
GROWTH FUND
10
7.8153
7.8153
7.8153





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8274
11.8274
11.8274
SECURED FUND
10
8.8440
8.8440
8.8440
BALANCED FUND
10
8.6117
8.6117
8.6117
GROWTH FUND
10
7.3809
7.3809
7.3809

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1220
12.1220
12.1220
INCOME FUND
10
12.1512
12.1512
12.1512
BALANCED FUND
10
10.7142
10.7142
10.7142
GROWTH FUND
10
10.5479
10.5479
10.5479

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.6304
9.6304
9.6304





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.1004
12.1004
12.1004
SECURED FUND
10
10.7351
10.7351
10.7351
BALANCED FUND
10
10.4575
10.4575
10.4575
GROWTH FUND
10
8.8637
8.8637
8.8637





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2094
11.2094
11.2094
SECURED FUND
10
9.9293
9.9293
9.9293
BALANCED FUND
10
9.4942
9.4942
9.4942
GROWTH FUND
10
9.1968
9.1968
9.1968
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.2209
10.2209
10.2209
SECURED FUND
10
10.3255
10.3255
10.3255
BALANCED FUND
10
10.2906
10.2906
10.2906
GROWTH FUND
10
10.2507
10.2507
10.2507

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Friday, March 20, 2009

### Tax Benefits available for various Life Insurance plans........

Tax Benefits available for various Life Insurance plans.
The aggregate amount of deduction under all the relevant sections viz. section 80C, section 80CCC and section 80CCD shall not, exceedRs.1 Lakh..

1) Deduction from Income for payment of Premium (Sec. 80C).
(a) Life Insurance premia:The insurance premia paid for a policy is eligible for deduction. The premium paid should not be in excess of 20% of capital sum assured.(b) Contribution to Deferred Annuity Plans : The premia paid for a Deferred Annuity , provided such contract does not contain a provision to exercise an option by the insured to received a cash payment in lieu of the payment of annuity is eligible for deduction.
(c) Contribution to Pension/Annuity Plans :Contribution to New Jeevan Dhara-I and New Jeevan Akshay-V Schemes of LIC are qualified for rebate under this section.
2) Income tax exemption on Maturity/Death Claims proceeds under Section 10(10D)
All the benefits payable under a Life Insurance policy are tax free. However in cases the premium paid in excess of 20% of the capital sum assured within a year, benefits paid excess of premiums will be taxable. The benefits from a key man Insurance policy and any sum received under Sec 80DD, Sub-section (3) are also taxable.
3) Jeevan Nidhi Plan & New Jeevan Suraksha - I Plan (U/s. 80CCC)Amounts paid from the taxable income to premiums of the above annuity are deductible.
4) Deduction under section 80DMedical Premium paid for a Health Insurance policy is deductible to the extent of Rs. 15000 for an assessee and/or his family members’ policiy/s. A separate exemption to the extent of Rs. 15,000 for premiums paid for an assessee’s parents is also available. If any one or both of the parents are Senior citizens, then an enhanced exemption limit of Rs. 20,000 is available. Section 80D also covers payment of premium exclusively for Critical Illness Rider.
5) Jeevan Aadhar Plan (Sec.80DD)
Premium paid for LIC’s Jeevan Aadhar Plan (for the maintenance of an handicapped dependent) is eligible for deduction from the total income to the extent of Rs.50,000 and to the extent of Rs.75,000/- where handicapped dependent is suffering from specified severe disability.
6) Exemption in respect of commutation of pension under Jeevan Suraksha & Jeevan Nidhi Plans. (Section 10(10A):A payment received by way of commutation of pension from Jeevan Suraksha & Jeevan Nidhi Annuity plans is exempt from tax

### Income Tax Provisions for the Financial Year ending 31st March 2009.......

  • Income Tax Provisions for the Financial Year ending 31st March 2009

In case of resident women below 65 years of age.

Total Income Range
Tax Rates
Surcharge
Education Cess (% of I.T)
Secondary and Higher Education Cess


Upto Rs.1,80,000/-
Nil
Nil
Nil
Nil


Rs.1,80,001- Rs. 3,00,000
10% of the amount by which the total Income exceeds Rs. Rs.1,80,000
Nil
2%
1%


Rs.3,00,001- Rs. 5,00,000
Rs.12,000 + 20% of amount by which the total Income exceeds Rs.3,00,000
Nil
2%
1%


Above Rs. 5,00,000
Rs.52,000 +30% of amount by which the total Income exceeds Rs.5,00,000
Nil
2%
1%

### Income Tax Provisions for the Financial Year ending 31st March 2009 .......

####Income Tax Provisions for the Financial Year ending 31st March 2009 ........

For any individuals:

Total Income Range
Tax Rates
Surcharge
Education Cess (% of I.T)
Secondary and Higher Education Cess


Upto Rs.1,50,000/-
Nil
Nil
Nil
Nil


Rs.1,50,001-Rs. 3,00,000
10% of the amount by which the total Income exceeds Rs.1,50,000
Nil
2%
1%


Rs.3,00,001-Rs. 5,00,000
Rs.15,000 + 20%of amount by which the total Income exceeds Rs.3,00,000
Nil
2%
1%


Above Rs. 5,00,000
Rs.55,000 + 30% of amount by which the total Income exceeds Rs.5,00,000
Nil
2%
1%

*** LIC 's NAV of CHILD FORTUNEPLUS (194) as on DATE_20.03.2009.........

CHILD FORTUNEPLUS (194)

BOND FUND
10
10.2465
10.2465
10.2465
SECURED FUND
10
10.3281
10.3281
10.3281
BALANCED FUND
10
10.2986
10.2986
10.2986
GROWTH FUND
10
10.2546
10.2546
10.2546

*** LIC 's NAV of HEALTH PLUS (901) as on DATE_20.03.2009.........

HEALTH PLUS (901)


HEALTH PLUS FUND
10
9.6315
9.6315
9.6315

*** LIC 's NAV of BIMA PLUS as on DATE_20.03.2009.........

BIMA PLUS

SECURED FUND
10
23.5597
22.3818
23.5597
BALANCED FUND
10
26.0486
24.7461
26.0486
RISK FUND
10
30.9140
29.3683
30.9140

*** LIC 's NAV of FUTURE PLUS (172) AS ON DATE_20.03.2009.........

FUTURE PLUS (172)

BOND FUND
10
12.9428
12.9428
12.9428
INCOME FUND
10
14.1503
14.1503
14.1503
BALANCED FUND
10
13.8417
13.8417
13.8417
GROWTH FUND
10
15.1100
15.1100
15.1100

*** 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

*** 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

*** LIC 's NAV of Money Plus(T-180) AS ON DATE_20.03.2009.........

MONEY PLUS (180)

BOND FUND
10
12.2235
12.2235
12.2235
SECURED FUND
10
10.8977
10.8977
10.8977
BALANCED FUND
10
10.0225
10.0225
10.0225
GROWTH FUND
10
7.6895
7.6895
7.6895

*** LIC 's NAV'S AS ON DATE_20.03.2009.........

NAV'S AS ON DATE_20.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS
DATE OF LAUNCH12.02.2001



SECURED FUND
10
23.5597
22.3818
23.5597
BALANCED FUND
10
26.0486
24.7461
26.0486
RISK FUND
10
30.9140
29.3683
30.9140





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.9428
12.9428
12.9428
INCOME FUND
10
14.1503
14.1503
14.1503
BALANCED FUND
10
13.8417
13.8417
13.8417
GROWTH FUND
10
15.1100
15.1100
15.1100





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.5399
12.5399
12.5399
SECURED FUND
10
12.4670
12.4670
12.4670
BALANCED FUND
10
12.3735
12.3735
12.3735
GROWTH FUND
10
13.7700
13.7700
13.7700





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.2235
12.2235
12.2235
SECURED FUND
10
10.8977
10.8977
10.8977
BALANCED FUND
10
10.0225
10.0225
10.0225
GROWTH FUND
10
7.6895
7.6895
7.6895





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



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





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.5139
11.5139
11.5139
SECURED FUND
10
9.4569
9.4569
9.4569
BALANCED FUND
10
8.5648
8.5648
8.5648
GROWTH FUND
10
7.8171
7.8171
7.8171





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



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

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1220
12.1220
12.1220
INCOME FUND
10
12.1512
12.1512
12.1512
BALANCED FUND
10
10.7142
10.7142
10.7142
GROWTH FUND
10
10.5479
10.5479
10.5479

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.6315
9.6315
9.6315





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0843
12.0843
12.0843
SECURED FUND
10
10.7431
10.7431
10.7431
BALANCED FUND
10
10.4491
10.4491
10.4491
GROWTH FUND
10
8.8602
8.8602
8.8602





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2040
11.2040
11.2040
SECURED FUND
10
9.9343
9.9343
9.9343
BALANCED FUND
10
9.4951
9.4951
9.4951
GROWTH FUND
10
9.1943
9.1943
9.1943
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.2465
10.2465
10.2465
SECURED FUND
10
10.3281
10.3281
10.3281
BALANCED FUND
10
10.2986
10.2986
10.2986
GROWTH FUND
10
10.2546
10.2546
10.2546

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Thursday, March 19, 2009

### Insurance Plans.......

### Insurance Plans.......

  • As individuals it is inherent to differ.
  • Each individual's insurance needs and requirements are different from that of the others.
  • LIC's Insurance Plans are policies that talk to you individually and give you the most suitable options that can fit your requirement.

*** LIC’s Jeevan Varsha_Closed on _31.03.2009.......

  • LIC’s Jeevan Varsha is a close ended Money Back Plan with Guaranteed Additions.
  • The plan provides for periodical payments of a proportion of Sum Assured at specified durations, on survival during the term of the policy and on maturity.
  • The Plan provides for payment of Sum Assured on death.
  • Guaranteed Additions are payable on death and Maturity.
  • Loyalty Additions may also be payable during the last year of the policy on both maturity and death.

LIC’s Jeevan Varsha_Closed on _31.03.2009

*** LIC 's NAV'S AS ON DATE_18.03.2009.......

NAV'S AS ON DATE_18.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS
DATE OF LAUNCH12.02.2001
SECURED FUND
10
23.5151
22.3394
23.5151
BALANCED FUND
10
26.1415
24.8345
26.1415
RISK FUND
10
30.7839
29.2447
30.7839





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.9472
12.9472
12.9472
INCOME FUND
10
14.1504
14.1504
14.1504
BALANCED FUND
10
13.8043
13.8043
13.8043
GROWTH FUND
10
15.0923
15.0923
15.0923





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.6209
12.6209
12.6209
SECURED FUND
10
12.4385
12.4385
12.4385
BALANCED FUND
10
12.3677
12.3677
12.3677
GROWTH FUND
10
13.7628
13.7628
13.7628





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1355
12.1355
12.1355
SECURED FUND
10
10.8724
10.8724
10.8724
BALANCED FUND
10
10.0025
10.0025
10.0025
GROWTH FUND
10
7.6757
7.6757
7.6757





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.4559
13.4559
13.4559
SECURED FUND
10
11.4069
11.4069
11.4069
BALANCED FUND
10
10.5622
10.5622
10.5622
GROWTH FUND
10
9.3933
9.3933
9.3933





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.4856
11.4856
11.4856
SECURED FUND
10
9.4340
9.4340
9.4340
BALANCED FUND
10
8.5558
8.5558
8.5558
GROWTH FUND
10
7.7950
7.7950
7.7950





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.8167
11.8167
11.8167
SECURED FUND
10
8.8305
8.8305
8.8305
BALANCED FUND
10
8.5932
8.5932
8.5932
GROWTH FUND
10
7.3683
7.3683
7.3683

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1204
12.1204
12.1204
INCOME FUND
10
12.1450
12.1450
12.1450
BALANCED FUND
10
10.7102
10.7102
10.7102
GROWTH FUND
10
10.5622
10.5622
10.5622

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.6023
9.6023
9.6023





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.0844
12.0844
12.0844
SECURED FUND
10
10.7459
10.7459
10.7459
BALANCED FUND
10
10.4658
10.4658
10.4658
GROWTH FUND
10
8.8587
8.8587
8.8587





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.1999
11.1999
11.1999
SECURED FUND
10
9.9218
9.9218
9.9218
BALANCED FUND
10
9.4738
9.4738
9.4738
GROWTH FUND
10
9.1677
9.1677
9.1677
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.2326
10.2326
10.2326
SECURED FUND
10
10.3308
10.3308
10.3308
BALANCED FUND
10
10.2972
10.2972
10.2972
GROWTH FUND
10
10.2343
10.2343
10.2343

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Wednesday, March 18, 2009

***LIC's NAV'S AS ON DATE 17.03.2009.............

NAV'S AS ON DATE 17.03.2009
EFFECTIVE FOR 17.03.2009


BASIC UNIT VALUE NAV AS ON DATE REPURCHASE VALUE SALE
VALUE
BIMA PLUS
DATE OF LAUNCH
12.02.2001




SECURED FUND
10
23.5151
22.3394
23.5151

BALANCED FUND
10
26.1415
24.8345
26.1415

RISK FUND
10
30.7839
29.2447
30.7839





FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005



BOND FUND
10
13.0129
13.0129
13.0129

INCOME FUND
10
14.2343
14.2343
14.2343

BALANCED FUND
10
13.8824
13.8824
13.8824

GROWTH FUND
10
15.0997
15.0997
15.0997





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
12.6937
12.6937
12.6937

SECURED FUND
10
12.5410
12.5410
12.5410

BALANCED FUND
10
12.4208
12.4208
12.4208

GROWTH FUND
10
13.7359
13.7359
13.7359





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
12.1943
12.1943
12.1943

SECURED FUND
10
10.9136
10.9136
10.9136

BALANCED FUND
10
9.9427
9.9427
9.9427

GROWTH FUND
10
7.6428
7.6428
7.6428





MARKET PLUS (181) DATE OF LAUNCH
05.07.2006



BOND FUND
10
13.5546
13.5546
13.5546

SECURED FUND
10
11.4660
11.4660
11.4660

BALANCED FUND
10
10.5753
10.5753
10.5753

GROWTH FUND
10
9.3607
9.3607
9.3607





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.5142
11.5142
11.5142

SECURED FUND
10
9.4442
9.4442
9.4442

BALANCED FUND
10
8.5571
8.5571
8.5571

GROWTH FUND
10
7.7743
7.7743
7.7743





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.7765
11.7765
11.7765

SECURED FUND
10
8.6592
8.6592
8.6592

BALANCED FUND
10
8.4092
8.4092
8.4092

GROWTH FUND
10
7.3227
7.3227
7.3227


GRATUITY PLUS DATE OF LAUNCH
22.06.2006



BOND FUND
10
12.1162 12.1162 12.1162
INCOME FUND
10
11.9957
11.9957
11.9957

BALANCED FUND
10
10.6207
10.6207
10.6207

GROWTH FUND
10
10.4723 10.4723 10.4723

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
9.6182
9.6182
9.6182


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
12.1649
12.1649
12.1649

SECURED FUND
10
10.7576
10.7576
10.7576

BALANCED FUND
10
10.4990
10.4990
10.4990

GROWTH FUND
10
8.8101
8.8101
8.8101


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
11.2491
11.2491
11.2491

SECURED FUND
10
9.9239
9.9239
9.9239

BALANCED FUND
10
9.4556
9.4556
9.4556

GROWTH FUND
10
9.1177
9.1177
9.1177

CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
10.2657
10.2657
10.2657

SECURED FUND
10
10.3292
10.3292
10.3292

BALANCED FUND
10
10.2971
10.2971
10.2971

GROWTH FUND
10
10.2010
10.2010
10.2010


# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Tuesday, March 17, 2009

***LIC's NAV'S AS ON DATE 16.03.2009...............

NAV'S AS ON DATE 16.03.2009
EFFECTIVE FOR 16.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE

BIMA PLUS
DATE OF LAUNCH
12.02.2001




SECURED FUND
10
23.3298
22.1633
23.3298

BALANCED FUND
10
25.9077
24.6124
25.9077

RISK FUND
10
30.4134
28.8927
30.4134





FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005



BOND FUND
10
12.8861
12.8861
12.8861

INCOME FUND
10
14.0009
14.0009
14.0009

BALANCED FUND
10
13.6960
13.6960
13.6960

GROWTH FUND
10
15.0789
15.0789
15.0789





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
12.6216
12.6216
12.6216

SECURED FUND
10
12.3199
12.3199
12.3199

BALANCED FUND
10
12.3268
12.3268
12.3268

GROWTH FUND
10
13.6463
13.6463
13.6463





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
11.9243
11.9243
11.9243

SECURED FUND
10
10.8045
10.8045
10.8045

BALANCED FUND
10
9.8443
9.8443
9.8443

GROWTH FUND
10
7.6425
7.6425
7.6425





MARKET PLUS (181) DATE OF LAUNCH
05.07.2006



BOND FUND
10
13.3175
13.3175
13.3175

SECURED FUND
10
11.3078
11.3078
11.3078

BALANCED FUND
10
10.4785
10.4785
10.4785

GROWTH FUND
10
9.3433
9.3433
9.3433





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.4105
11.4105
11.4105

SECURED FUND
10
9.3747
9.3747
9.3747

BALANCED FUND
10
8.5067
8.5067
8.5067

GROWTH FUND
10
7.7516
7.7516
7.7516





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.6676
11.6676
11.6676

SECURED FUND
10
8.6448
8.6448
8.6448

BALANCED FUND
10
8.4213
8.4213
8.4213

GROWTH FUND
10
7.3181
7.3181
7.3181


GRATUITY PLUS DATE OF LAUNCH
22.06.2006



BOND FUND
10
12.1162 12.1162 12.1162
INCOME FUND
10
11.9957
11.9957
11.9957

BALANCED FUND
10
10.6207
10.6207
10.6207

GROWTH FUND
10
10.4723 10.4723 10.4723

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
9.5303
9.5303
9.5303


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
11.9599
11.9599
11.9599

SECURED FUND
10
10.6678
10.6678
10.6678

BALANCED FUND
10
10.3489
10.3489
10.3489

GROWTH FUND
10
8.8223
8.8223
8.8223


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
11.1110
11.1110
11.1110

SECURED FUND
10
9.8864
9.8864
9.8864

BALANCED FUND
10
9.4438
9.4438
9.4438

GROWTH FUND
10
9.1266
9.1266
9.1266

CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
10.1572
10.1572
10.1572

SECURED FUND
10
10.2659
10.2659
10.2659

BALANCED FUND
10
10.2427
10.2427
10.2427

GROWTH FUND
10
10.1792
10.1792
10.1792


# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Monday, March 16, 2009

***LIC's NAV'S AS ON DATE_14.03.2009................

NAV'S AS ON DATE_14.03.2009


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS
DATE OF LAUNCH12.02.2001



SECURED FUND
10
23.3298
22.1633
23.3298
BALANCED FUND
10
25.9077
24.6124
25.9077
RISK FUND
10
30.4134
28.8927
30.4134





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
12.8813
12.8813
12.8813
INCOME FUND
10
13.9772
13.9772
13.9772
BALANCED FUND
10
13.6511
13.6511
13.6511
GROWTH FUND
10
14.9474
14.9474
14.9474





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.6890
12.6890
12.6890
SECURED FUND
10
12.3545
12.3545
12.3545
BALANCED FUND
10
12.2985
12.2985
12.2985
GROWTH FUND
10
13.5223
13.5223
13.5223





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
11.9194
11.9194
11.9194
SECURED FUND
10
10.7818
10.7818
10.7818
BALANCED FUND
10
9.7959
9.7959
9.7959
GROWTH FUND
10
7.5365
7.5365
7.5365





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.3125
13.3125
13.3125
SECURED FUND
10
11.2722
11.2722
11.2722
BALANCED FUND
10
10.4242
10.4242
10.4242
GROWTH FUND
10
9.2328
9.2328
9.2328





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.4074
11.4074
11.4074
SECURED FUND
10
9.3474
9.3474
9.3474
BALANCED FUND
10
8.4450
8.4450
8.4450
GROWTH FUND
10
7.6870
7.6870
7.6870





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.6610
11.6610
11.6610
SECURED FUND
10
8.6047
8.6047
8.6047
BALANCED FUND
10
8.3692
8.3692
8.3692
GROWTH FUND
10
7.2392
7.2392
7.2392

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1119
12.1119
12.1119
INCOME FUND
10
12.1345
12.1345
12.1345
BALANCED FUND
10
10.6653
10.6653
10.6653
GROWTH FUND
10
10.3988
10.3988
10.3988

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.4808
9.4808
9.4808





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
11.9513
11.9513
11.9513
SECURED FUND
10
10.6002
10.6002
10.6002
BALANCED FUND
10
10.2668
10.2668
10.2668
GROWTH FUND
10
8.7090
8.7090
8.7090





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.1079
11.1079
11.1079
SECURED FUND
10
9.8613
9.8613
9.8613
BALANCED FUND
10
9.4058
9.4058
9.4058
GROWTH FUND
10
9.0460
9.0460
9.0460
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.1529
10.1529
10.1529
SECURED FUND
10
10.2540
10.2540
10.2540
BALANCED FUND
10
10.2354
10.2354
10.2354
GROWTH FUND
10
10.1014
10.1014
10.1014

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Friday, March 13, 2009

*** LIC 's NAV'S AS ON DATE_12.03.2009.......

NAV'S AS ON DATE_12.03.2009

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS
DATE OF LAUNCH12.02.2001



SECURED FUND
10
23.3239
22.1577
23.3239
BALANCED FUND
10
25.8014
24.5113
25.8014
RISK FUND
10
29.9895
28.4901
29.9895





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
13.0133
13.0133
13.0133
INCOME FUND
10
14.1542
14.1542
14.1542
BALANCED FUND
10
13.7726
13.7726
13.7726
GROWTH FUND
10
14.8633
14.8633
14.8633





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
12.9027
12.9027
12.9027
SECURED FUND
10
12.5749
12.5749
12.5749
BALANCED FUND
10
12.3568
12.3568
12.3568
GROWTH FUND
10
13.4509
13.4509
13.4509





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.1195
12.1195
12.1195
SECURED FUND
10
10.8553
10.8553
10.8553
BALANCED FUND
10
9.8174
9.8174
9.8174
GROWTH FUND
10
7.4155
7.4155
7.4155





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.5036
13.5036
13.5036
SECURED FUND
10
11.3879
11.3879
11.3879
BALANCED FUND
10
10.4449
10.4449
10.4449
GROWTH FUND
10
9.1120
9.1120
9.1120





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.4882
11.4882
11.4882
SECURED FUND
10
9.3690
9.3690
9.3690
BALANCED FUND
10
8.4072
8.4072
8.4072
GROWTH FUND
10
7.6139
7.6139
7.6139





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
11.7916
11.7916
11.7916
SECURED FUND
10
8.6098
8.6098
8.6098
BALANCED FUND
10
8.2952
8.2952
8.2952
GROWTH FUND
10
7.1324
7.1324
7.1324

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
12.1119
12.1119
12.1119
INCOME FUND
10
12.1345
12.1345
12.1345
BALANCED FUND
10
10.6653
10.6653
10.6653
GROWTH FUND
10
10.3988
10.3988
10.3988

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
9.4895
9.4895
9.4895





MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008



BOND FUND
10
12.1140
12.1140
12.1140
SECURED FUND
10
10.5564
10.5564
10.5564
BALANCED FUND
10
10.2712
10.2712
10.2712
GROWTH FUND
10
8.5725
8.5725
8.5725





MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008



BOND FUND
10
11.2157
11.2157
11.2157
SECURED FUND
10
9.8407
9.8407
9.8407
BALANCED FUND
10
9.3420
9.3420
9.3420
GROWTH FUND
10
8.9349
8.9349
8.9349
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.2064
10.2064
10.2064
SECURED FUND
10
10.3023
10.3023
10.3023
BALANCED FUND
10
10.2695
10.2695
10.2695
GROWTH FUND
10
9.9784
9.9784
9.9784

# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Thursday, March 5, 2009

***LIC's NAV's AS ON DATE 04.03.2009

NAV'S AS ON DATE 04.03.2009
EFFECTIVE FOR 04.03.2009


BASIC UNIT VALUE NAV AS ON DATE REPURCHASE VALUE SALE
VALUE
BIMA PLUS
DATE OF LAUNCH
12.02.2001




SECURED FUND
10
23.2466
22.0842
23.2466

BALANCED FUND
10
26.0348
24.7330
26.0348

RISK FUND
10
30.1941
28.6844
30.1941





FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005



BOND FUND
10
13.1298
13.1298
13.1298

INCOME FUND
10
14.3426
14.3426
14.3426

BALANCED FUND
10
13.9408
13.9408
13.9408

GROWTH FUND
10
14.9782
14.9782
14.9782





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
12.8803
12.8803
12.8803

SECURED FUND
10
12.7751
12.7751
12.7751

BALANCED FUND
10
12.4550
12.4550
12.4550

GROWTH FUND
10
13.5591
13.5591
13.5591





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
12.2860
12.2860
12.2860

SECURED FUND
10
10.9122
10.9122
10.9122

BALANCED FUND
10
9.9039
9.9039
9.9039

GROWTH FUND
10
7.5094
7.5094
7.5094





MARKET PLUS (181) DATE OF LAUNCH
05.07.2006



BOND FUND
10
13.6274
13.6274
13.6274

SECURED FUND
10
11.5162
11.5162
11.5162

BALANCED FUND
10
10.5272
10.5272
10.5272

GROWTH FUND
10
9.2108
9.2108
9.2108





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.5443
11.5443
11.5443

SECURED FUND
10
9.4381
9.4381
9.4381

BALANCED FUND
10
8.4777
8.4777
8.4777

GROWTH FUND
10
7.6760
7.6760
7.6760





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.7166
11.7166
11.7166

SECURED FUND
10
8.6525
8.6525
8.6525

BALANCED FUND
10
8.3390
8.3390
8.3390

GROWTH FUND
10
7.1850
7.1850
7.1850


GRATUITY PLUS DATE OF LAUNCH
22.06.2006



BOND FUND
10
12.0994 12.0994 12.0994
INCOME FUND
10
12.2338
12.2338
12.2338

BALANCED FUND
10
10.7143
10.7143
10.7143

GROWTH FUND
10
10.3612 10.3612 10.3612

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
9.5643
9.5643
9.5643


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
11.8100
11.8100
11.8100

SECURED FUND
10
10.5632
10.5632
10.5632

BALANCED FUND
10
10.1409
10.1409
10.1409

GROWTH FUND
10
8.6689
8.6689
8.6689


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
11.0448
11.0448
11.0448

SECURED FUND
10
9.9346
9.9346
9.9346

BALANCED FUND
10
9.4130
9.4130
9.4130

GROWTH FUND
10
9.0111
9.0111
9.0111

CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
10.3664
10.3664
10.3664

SECURED FUND
10
10.3573
10.3573
10.3573

BALANCED FUND
10
10.3071
10.3071
10.3071

GROWTH FUND
10
10.1275
10.1275
10.1275


# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Monday, March 2, 2009

***LIC’s Jeevan Varsha........

*LIC of India introduced it's New Money Back Plan
Named as Jeevan Varsha on 16.02.2009.

LIC’s Jeevan Varsha........

*LIC’s Jeevan Varsha is a close ended Money Back Plan with Guaranteed Additions.

*The plan provides for periodical payments of a proportion of Sum Assured at specified durations, on survival during the term of the policy and on maturity.


*The Plan provides for payment of Sum Assured on death. Guaranteed Additions are payable on death and Maturity. Loyalty Additions may also be payable during the last year of the policy on both maturity and death.

*The plan will be open for purchase from 16th February, 2009 to 31st March, 2009.
For more info.Call:09298055282 (LIC-Balaji)




###---Child Future Plan ( A specially designed Plan)...........
*This plan is specially designed to meet the increasing educational, marriage and other needs of growing children.
*It provides the risk cover on the life of child not only during the policy term but also during the extended term (i.e. 7 years after the expiry of policy term).
*A number of Survival benefits are payable on surviving by the life assured to the end of the specified durations.

Note:For more information
Call:9298055282 (LIC-Balaji)

###--MONEY PLUS - I (Plan No.193)
New Plan........................DATE OF LAUNCH 22.05.2008

*A unit linked-endownment plan.
*Which offers investment-cum-insurance during the term of the policy.

*Minimum Premium Rs.5000 p.a.
*Min. entry Age : 0 years
*Max. entry Age : 65 years
*Policy term : 5 to 30 years
*Min. Maturity Age : 18 years
*Max. Maturity Age : 75 years

Note:For more information Call:9298055282

###----Jeevan Anand...........
*This plan is a combination of Endowment Assurance and Whole Life plans.
*It provides financial protection against death throughout the lifetime of the life assured with the provision of payment of a lump sum at the end of the selected term in case of his survival.

Note:For more information
Call:09298055282 (LIC-Balaji)

###---Unit Plans....
*Unit plans are investment plans for those who realise the worth of hard-earned money.
*These plans help you see your savings yield rich benefits and help you save tax even if you don't have consistent income.

###---Profit Plus( An Investment plan)....
*It is a unit linked Endowment plan where the premium payment term (PPT) is limited to single lump sum, or uniformly over 3, 4 or 5 years.
*You can choose the level of cover within the limits, which will depend on whether the policy is a Single premium or Limited premium contract, term chosen and on the level of premium you agree to pay.


Note:For more information
Call:09298055282 (LIC-Balaji)




Flash.... Flash.... Flash.... Flash....

*LIC of India introduced it's new Unit Linked Plan.
*Named as Money Plus 1 ( Plan No. 193 ) on 22.05.2008.
*Units are available at base value of Rs.10

*For more information
Call : 09298055282 (LIC-Balaji)
For FREE Processing & More Information
Mobile: 09298055282
OR
Mail: venkat9ram@gmail.com
NOTE: we are not resposible for any mistake or loss directly or indirectly based on this blogger.

Advisor's Profile
LIC-Balaji_Mobile:09298055282
HYDERABAD, Andhra Pradesh, India
*Licentiate of Insurance Institute of India,Mumbai. *4+ years of Teaching & Training Experience.
View my complete profile

***LIC's NAV'S AS ON DATE 02.03.2009...........

LIC's NAV'S AS ON DATE 02.03.2009...........



BASIC UNIT VALUE NAV AS ON DATE REPURCHASE VALUE SALE
VALUE
BIMA PLUS
DATE OF LAUNCH
12.02.2001




SECURED FUND
10
23.3439
22.1767
23.3439

BALANCED FUND
10
26.2798
24.9658
26.2798

RISK FUND
10
30.9424
29.3953
30.9424





FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005



BOND FUND
10
13.0980
13.0980
13.0980

INCOME FUND
10
14.3043
14.3043
14.3043

BALANCED FUND
10
13.9236
13.9236
13.9236

GROWTH FUND
10
15.0069
15.0069
15.0069





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
12.7087
12.7087
12.7087

SECURED FUND
10
12.7279
12.7279
12.7279

BALANCED FUND
10
12.3952
12.3952
12.3952

GROWTH FUND
10
13.5914
13.5914
13.5914





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
12.2291
12.2291
12.2291

SECURED FUND
10
10.8529
10.8529
10.8529

BALANCED FUND
10
9.8908
9.8908
9.8908

GROWTH FUND
10
7.5407
7.5407
7.5407





MARKET PLUS (181) DATE OF LAUNCH
05.07.2006



BOND FUND
10
13.5734
13.5734
13.5734

SECURED FUND
10
11.4653
11.4653
11.4653

BALANCED FUND
10
10.5197
10.5197
10.5197

GROWTH FUND
10
9.2482
9.2482
9.2482





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.4834
11.4834
11.4834

SECURED FUND
10
9.4067
9.4067
9.4067

BALANCED FUND
10
8.4974
8.4974
8.4974

GROWTH FUND
10
7.7004
7.7004
7.7004





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.5235
11.5235
11.5235

SECURED FUND
10
8.5709
8.5709
8.5709

BALANCED FUND
10
8.3136
8.3136
8.3136

GROWTH FUND
10
7.2158
7.2158
7.2158


GRATUITY PLUS DATE OF LAUNCH
22.06.2006



BOND FUND
10
12.0945 12.0945 12.0945
INCOME FUND
10
12.2801
12.2801
12.2801

BALANCED FUND
10
10.7775
10.7775
10.7775

GROWTH FUND
10
10.5592 10.5592 10.5592

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
9.5615
9.5615
9.5615


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
11.6828
11.6828
11.6828

SECURED FUND
10
10.5483
10.5483
10.5483

BALANCED FUND
10
10.1512
10.1512
10.1512

GROWTH FUND
10
8.6935
8.6935
8.6935


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
10.9537
10.9537
10.9537

SECURED FUND
10
9.8971
9.8971
9.8971

BALANCED FUND
10
9.3983
9.3983
9.3983

GROWTH FUND
10
9.0360
9.0360
9.0360

CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
10.2929
1.0293
10.2929

SECURED FUND
10
10.2206
1.0221
10.2206

BALANCED FUND
10
10.2190
1.0219
10.2190

GROWTH FUND
10
10.1073
1.0107
10.1073


# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance

Sunday, March 1, 2009

***LIC's_NAV AS ON DATE_28/02/2009..........

NAV'S AS ON DATE 28.02.2009
EFFECTIVE FOR 28.02.2009
***LIC's_NAV AS ON DATE_28/02/2009..........

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS
DATE OF LAUNCH_12.02.2001
SECURED FUND
10
23.3439
22.1767
23.3439

BALANCED FUND
10
26.2798
24.9658
26.2798

RISK FUND
10
30.9424
29.3953
30.9424





FUTURE PLUS (172) DATE OF LAUNCH_04.03.2005

BOND FUND
10
13.0906
13.0906
13.0906

INCOME FUND
10
14.3342
14.3342
14.3342

BALANCED FUND
10
13.9818
13.9818
13.9818

GROWTH FUND
10
15.1557
15.1557
15.1557





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
12.7058
12.7058
12.7058

SECURED FUND
10
12.7493
12.7493
12.7493

BALANCED FUND
10
12.4205
12.4205
12.4205

GROWTH FUND
10
13.7635
13.7635
13.7635





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
12.2204
12.2204
12.2204

SECURED FUND
10
10.8691
10.8691
10.8691

BALANCED FUND
10
9.9387
9.9387
9.9387

GROWTH FUND
10
7.6763
7.6763
7.6763





MARKET PLUS (181) DATE OF LAUNCH
05.07.2006



BOND FUND
10
13.5688
13.5688
13.5688

SECURED FUND
10
11.4968
11.4968
11.4968

BALANCED FUND
10
10.5857
10.5857
10.5857

GROWTH FUND
10
9.3955
9.3955
9.3955





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.4790
11.4790
11.4790

SECURED FUND
10
9.4450
9.4450
9.4450

BALANCED FUND
10
8.5765
8.5765
8.5765

GROWTH FUND
10
7.7970
7.7970
7.7970





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
11.5189
11.5189
11.5189

SECURED FUND
10
8.6283
8.6283
8.6283

BALANCED FUND
10
8.4047
8.4047
8.4047

GROWTH FUND
10
7.3337
7.3337
7.3337


GRATUITY PLUS DATE OF LAUNCH
22.06.2006



BOND FUND
10
12.0885 12.0885 12.0885
INCOME FUND
10
12.2209
12.2209
12.2209

BALANCED FUND
10
10.7446
10.7446
10.7446

GROWTH FUND
10
10.5224 10.5224 10.5224

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
9.6313
9.6313
9.6313


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
11.6800
11.6800
11.6800

SECURED FUND
10
10.6609
10.6609
10.6609

BALANCED FUND
10
10.2782
10.2782
10.2782

GROWTH FUND
10
8.8647
8.8647
8.8647


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
10.9503
10.9503
10.9503

SECURED FUND
10
9.9324
9.9324
9.9324

BALANCED FUND
10
9.4689
9.4689
9.4689

GROWTH FUND
10
9.1668
9.1668
9.1668

CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
10.2881
10.2881
10.2881

SECURED FUND
10
10.2367
10.2367
10.2367

BALANCED FUND
10
10.2251
10.2251
10.2251

GROWTH FUND
10
10.2468
10.2468
10.2468


# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance