Saturday, January 30, 2010

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 29.01.2010..............

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 29.01.2010..............

BOND FUND
10
012.5627
012.5627
012.5627
SECURED FUND
10
011.6932
011.6932
011.6932
BALANCED FUND
10
012.3006
012.3006
012.3006
GROWTH FUND
10
010.6969
010.6969
010.6969

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 29.01.2010..............

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 29.01.2010..............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
029.1454
027.6881
029.1454
BALANCED FUND
10
035.5315
033.7549
035.5315
RISK FUND
10
049.7615
047.2734
049.7615





FUTURE PLUS (172)

BOND FUND
10
013.4732
013.4732
013.4732
INCOME FUND
10
015.6588
015.6588
015.6588
BALANCED FUND
10
016.5399
016.5399
016.5399
GROWTH FUND
10
021.5114
021.5114
021.5114





JEEVAN PLUS (173)

BOND FUND
10
013.4910
013.4910
013.4910
SECURED FUND
10
013.7744
013.7744
013.7744
BALANCED FUND
10
014.1770
014.1770
014.1770
GROWTH FUND
10
019.6181
019.6181
019.6181
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.9518
013.9518
013.9518
SECURED FUND
10
013.5490
013.5490
013.5490
BALANCED FUND
10
013.2964
013.2964
013.2964
GROWTH FUND
10
013.9360
013.9360
013.9360





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6937
012.6937
012.6937
SECURED FUND
10
012.4867
012.4867
012.4867
BALANCED FUND
10
012.5546
012.5546
012.5546
GROWTH FUND
10
011.1155
011.1155
011.1155





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2500
012.2500
012.2500
SECURED FUND
10
012.2422
012.2422
012.2422
BALANCED FUND
10
011.2203
011.2203
011.2203
GROWTH FUND
10
010.8736
010.8736
010.8736





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5627
012.5627
012.5627
SECURED FUND
10
011.6932
011.6932
011.6932
BALANCED FUND
10
012.3006
012.3006
012.3006
GROWTH FUND
10
010.6969
010.6969
010.6969

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.2637
13.2637
13.2637
INCOME FUND
10
14.0215
14.0215
14.0215
BALANCED FUND
10
14.2183
14.2183
14.2183
GROWTH FUND
10
13.4488
13.4488
13.4488

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.1918
011.1918
011.1918





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



BOND FUND
10
012.5706
012.5706
012.5706
SECURED FUND
10
014.4453
014.4453
014.4453
BALANCED FUND
10
014.1297
014.1297
014.1297
GROWTH FUND
10
012.9577
012.9577
012.9577





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



BOND FUND
10
011.6148
011.6148
011.6148
SECURED FUND
10
011.9334
011.9334
011.9334
BALANCED FUND
10
012.0325
012.0325
012.0325
GROWTH FUND
10
012.8788
012.8788
012.8788





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.8102
010.8102
010.8102
SECURED FUND
10
014.4858
014.4858
014.4858
BALANCED FUND
10
014.1043
014.1043
014.1043
GROWTH FUND
10
014.1488
014.1488
014.1488





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.6517
010.6517
010.6517





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3831
010.3831
010.3831
SECURED FUND
10
010.1054
010.1054
010.1054
BALANCED FUND
10
010.2131
010.2131
010.2131
GROWTH FUND
10
010.7753
010.7753
010.7753

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


Friday, January 29, 2010

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 28.01.2010..............

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 28.01.2010..............

BOND FUND
10
012.5602
012.5602
012.5602

SECURED FUND
10
011.7072
011.7072
011.7072

BALANCED FUND
10
012.3435
012.3435
012.3435

GROWTH FUND
10
010.6453
010.6453
010.6453

***LIC's NAV'S AS ON DATE 28.01.2010..............

***LIC's NAV'S AS ON DATE 28.01.2010..............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)
SECURED FUND
10
029.0296
027.5781
029.0296
BALANCED FUND
10
035.2442
033.4820
035.2442
RISK FUND
10
049.2166
046.7558
049.2166





FUTURE PLUS (172)
BOND FUND
10
013.4745
013.4745
013.4745
INCOME FUND
10
015.6564
015.6564
015.6564
BALANCED FUND
10
016.5223
016.5223
016.5223
GROWTH FUND
10
021.5166
021.5166
021.5166





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4868
013.4868
013.4868
SECURED FUND
10
013.7761
013.7761
013.7761
BALANCED FUND
10
014.1680
014.1680
014.1680
GROWTH FUND
10
019.6266
019.6266
019.6266
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.9583
013.9583
013.9583
SECURED FUND
10
013.5556
013.5556
013.5556
BALANCED FUND
10
013.2914
013.2914
013.2914
GROWTH FUND
10
013.9046
013.9046
013.9046





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6994
012.6994
012.6994
SECURED FUND
10
012.4784
012.4784
012.4784
BALANCED FUND
10
012.5328
012.5328
012.5328
GROWTH FUND
10
011.0855
011.0855
011.0855





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2481
012.2481
012.2481
SECURED FUND
10
012.1951
012.1951
012.1951
BALANCED FUND
10
011.1450
011.1450
011.1450
GROWTH FUND
10
010.8289
010.8289
010.8289





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5602
012.5602
012.5602
SECURED FUND
10
011.7072
011.7072
011.7072
BALANCED FUND
10
012.3435
012.3435
012.3435
GROWTH FUND
10
010.6453
010.6453
010.6453

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.2585
13.2585
13.2585
INCOME FUND
10
14.0075
14.0075
14.0075
BALANCED FUND
10
14.1849
14.1849
14.1849
GROWTH FUND
10
13.4267
13.4267
13.4267

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.1747
011.1747
011.1747





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



BOND FUND
10
012.5684
012.5684
012.5684
SECURED FUND
10
014.2941
014.2941
014.2941
BALANCED FUND
10
014.0321
014.0321
014.0321
GROWTH FUND
10
012.9162
012.9162
012.9162





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



BOND FUND
10
011.6153
011.6153
011.6153
SECURED FUND
10
011.9185
011.9185
011.9185
BALANCED FUND
10
012.0061
012.0061
012.0061
GROWTH FUND
10
012.8365
012.8365
012.8365





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.8106
010.8106
010.8106
SECURED FUND
10
014.3986
014.3986
014.3986
BALANCED FUND
10
013.9803
013.9803
013.9803
GROWTH FUND
10
014.0655
014.0655
014.0655





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.6466
010.6466
010.6466





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3765
010.3765
010.3765
SECURED FUND
10
010.1049
010.1049
010.1049
BALANCED FUND
10
010.2096
010.2096
010.2096
GROWTH FUND
10
010.7796
010.7796
010.7796

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


Thursday, January 28, 2010

***LIC's NAV'S AS ON DATE 27.01.2010..............

***LIC's NAV'S AS ON DATE 27.01.2010..............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS (140)
DATE OF LAUNCH02.02.2001



SECURED FUND
10
029.0296
027.5781
029.0296
BALANCED FUND
10
035.2442
033.4820
035.2442
RISK FUND
10
049.2166
046.7558
049.2166





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.4610
013.4610
013.4610
INCOME FUND
10
015.6145
015.6145
015.6145
BALANCED FUND
10
016.4536
016.4536
016.4536
GROWTH FUND
10
021.4793
021.4793
021.4793





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4707
013.4707
013.4707
SECURED FUND
10
013.7489
013.7489
013.7489
BALANCED FUND
10
014.1239
014.1239
014.1239
GROWTH FUND
10
019.5378
019.5378
019.5378
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.9390
013.9390
013.9390
SECURED FUND
10
013.5373
013.5373
013.5373
BALANCED FUND
10
013.2598
013.2598
013.2598
GROWTH FUND
10
013.8688
013.8688
013.8688





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6810
012.6810
012.6810
SECURED FUND
10
012.4703
012.4703
012.4703
BALANCED FUND
10
012.4969
012.4969
012.4969
GROWTH FUND
10
011.0561
011.0561
011.0561





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2382
012.2382
012.2382
SECURED FUND
10
012.1867
012.1867
012.1867
BALANCED FUND
10
011.1580
011.1580
011.1580
GROWTH FUND
10
010.7839
010.7839
010.7839





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5509
012.5509
012.5509
SECURED FUND
10
011.7376
011.7376
011.7376
BALANCED FUND
10
012.3334
012.3334
012.3334
GROWTH FUND
10
010.6221
010.6221
010.6221

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.2314
13.2314
13.2314
INCOME FUND
10
13.9681
13.9681
13.9681
BALANCED FUND
10
14.1483
14.1483
14.1483
GROWTH FUND
10
13.3964
13.3964
13.3964

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.1617
011.1617
011.1617





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



BOND FUND
10
012.5640
012.5640
012.5640
SECURED FUND
10
014.3142
014.3142
014.3142
BALANCED FUND
10
014.0147
014.0147
014.0147
GROWTH FUND
10
012.8816
012.8816
012.8816





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



BOND FUND
10
011.6053
011.6053
011.6053
SECURED FUND
10
011.8484
011.8484
011.8484
BALANCED FUND
10
011.9716
011.9716
011.9716
GROWTH FUND
10
012.7784
012.7784
012.7784





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.8021
010.8021
010.8021
SECURED FUND
10
014.4263
014.4263
014.4263
BALANCED FUND
10
013.9702
013.9702
013.9702
GROWTH FUND
10
014.0531
014.0531
014.0531





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.6397
010.6397
010.6397





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3651
010.3651
010.3651
SECURED FUND
10
010.1037
010.1037
010.1037
BALANCED FUND
10
010.2038
010.2038
010.2038
GROWTH FUND
10
010.7573
010.7573
010.7573

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

Tuesday, January 26, 2010

***LIC's NAV'S AS ON DATE 23.01.2010..............

***LIC's NAV'S AS ON DATE 23.01.2010..............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.4649
027.9916
029.4649
BALANCED FUND
10
036.1006
034.2956
036.1006
RISK FUND
10
051.1749
048.6162
051.1749





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.4598
013.4598
013.4598
INCOME FUND
10
015.7064
015.7064
015.7064
BALANCED FUND
10
016.6305
016.6305
016.6305
GROWTH FUND
10
021.8196
021.8196
021.8196





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4765
013.4765
013.4765
SECURED FUND
10
013.8453
013.8453
013.8453
BALANCED FUND
10
014.2892
014.2892
014.2892
GROWTH FUND
10
020.1076
020.1076
020.1076
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.9351
013.9351
013.9351
SECURED FUND
10
013.6794
013.6794
013.6794
BALANCED FUND
10
013.5070
013.5070
013.5070
GROWTH FUND
10
014.2482
014.2482
014.2482





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6760
012.6760
012.6760
SECURED FUND
10
012.5754
012.5754
012.5754
BALANCED FUND
10
012.6860
012.6860
012.6860
GROWTH FUND
10
011.3570
011.3570
011.3570





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2378
012.2378
012.2378
SECURED FUND
10
012.3751
012.3751
012.3751
BALANCED FUND
10
011.4658
011.4658
011.4658
GROWTH FUND
10
011.0900
011.0900
011.0900





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5544
012.5544
012.5544
SECURED FUND
10
012.0298
012.0298
012.0298
BALANCED FUND
10
012.6999
012.6999
012.6999
GROWTH FUND
10
010.9039
010.9039
010.9039

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.2323
13.2323
13.2323
INCOME FUND
10
14.0930
14.0930
14.0930
BALANCED FUND
10
14.3552
14.3552
14.3552
GROWTH FUND
10
13.5999
13.5999
13.5999

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.2944
011.2944
011.2944





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



BOND FUND
10
012.5616
012.5616
012.5616
SECURED FUND
10
014.6484
014.6484
014.6484
BALANCED FUND
10
014.3761
014.3761
014.3761
GROWTH FUND
10
013.0772
013.0772
013.0772





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



BOND FUND
10
011.6089
011.6089
011.6089
SECURED FUND
10
012.2038
012.2038
012.2038
BALANCED FUND
10
012.2543
012.2543
012.2543
GROWTH FUND
10
013.1565
013.1565
013.1565





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7976
010.7976
010.7976
SECURED FUND
10
014.6731
014.6731
014.6731
BALANCED FUND
10
014.3043
014.3043
014.3043
GROWTH FUND
10
014.2621
014.2621
014.2621





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7199
010.7199
010.7199





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3564
010.3564
010.3564
SECURED FUND
10
010.1025
010.1025
010.1025
BALANCED FUND
10
010.2000
010.2000
010.2000
GROWTH FUND
10
011.0595
011.0595
011.0595

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


Sunday, January 24, 2010

### LIC’s Special Plans ............

### LIC’s Special Plans ............
  • LIC’s Special Plans are not plans but opportunities that knock on your door once in a lifetime.
  • These plans are a perfect blend of insurance, investment and a lifetime of happiness!

### LIC's Unit plans..........

### LIC's 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.

*** LIC's BIMA PLUS (140) NAV's AS ON DATE:23.01.2010............

*** LIC's BIMA PLUS (140) NAV's AS ON DATE:23.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE




SECURED FUND
10
029.4649
027.9916
029.4649
BALANCED FUND
10
036.1006
034.2956
036.1006
RISK FUND
10
051.1749
048.6162
051.1749

*** LIC's FUTURE PLUS (172) NAV's AS ON DATE:23.01.2010............

*** LIC's FUTURE PLUS (172) NAV's AS ON DATE:23.01.2010............


BOND FUND
10
013.4598
013.4598
013.4598

INCOME FUND
10
015.7064
015.7064
015.7064

BALANCED FUND
10
016.6305
016.6305
016.6305

GROWTH FUND
10
021.8196
021.8196
021.8196

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:23.01.2010............

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:23.01.2010............


BOND FUND
10
012.5544
012.5544
012.5544
SECURED FUND
10
012.0298
012.0298
012.0298
BALANCED FUND
10
012.6999
012.6999
012.6999
GROWTH FUND
10
010.9039
010.9039
010.9039

*** LIC's NAV's AS ON DATE:23.01.2010............

*** LIC's NAV's AS ON DATE:23.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
029.4649
027.9916
029.4649
BALANCED FUND
10
036.1006
034.2956
036.1006
RISK FUND
10
051.1749
048.6162
051.1749





FUTURE PLUS (172)


BOND FUND
10
013.4598
013.4598
013.4598
INCOME FUND
10
015.7064
015.7064
015.7064
BALANCED FUND
10
016.6305
016.6305
016.6305
GROWTH FUND
10
021.8196
021.8196
021.8196





JEEVAN PLUS (173)

BOND FUND
10
013.4765
013.4765
013.4765
SECURED FUND
10
013.8453
013.8453
013.8453
BALANCED FUND
10
014.2892
014.2892
014.2892
GROWTH FUND
10
020.1076
020.1076
020.1076
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.9351
013.9351
013.9351
SECURED FUND
10
013.6794
013.6794
013.6794
BALANCED FUND
10
013.5070
013.5070
013.5070
GROWTH FUND
10
014.2482
014.2482
014.2482





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6760
012.6760
012.6760
SECURED FUND
10
012.5754
012.5754
012.5754
BALANCED FUND
10
012.6860
012.6860
012.6860
GROWTH FUND
10
011.3570
011.3570
011.3570





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2378
012.2378
012.2378
SECURED FUND
10
012.3751
012.3751
012.3751
BALANCED FUND
10
011.4658
011.4658
011.4658
GROWTH FUND
10
011.0900
011.0900
011.0900





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5544
012.5544
012.5544
SECURED FUND
10
012.0298
012.0298
012.0298
BALANCED FUND
10
012.6999
012.6999
012.6999
GROWTH FUND
10
010.9039
010.9039
010.9039

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.2323
13.2323
13.2323
INCOME FUND
10
14.0930
14.0930
14.0930
BALANCED FUND
10
14.3552
14.3552
14.3552
GROWTH FUND
10
13.5999
13.5999
13.5999

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.2944
011.2944
011.2944





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



BOND FUND
10
012.5616
012.5616
012.5616
SECURED FUND
10
014.6484
014.6484
014.6484
BALANCED FUND
10
014.3761
014.3761
014.3761
GROWTH FUND
10
013.0772
013.0772
013.0772





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



BOND FUND
10
011.6089
011.6089
011.6089
SECURED FUND
10
012.2038
012.2038
012.2038
BALANCED FUND
10
012.2543
012.2543
012.2543
GROWTH FUND
10
013.1565
013.1565
013.1565





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7976
010.7976
010.7976
SECURED FUND
10
014.6731
014.6731
014.6731
BALANCED FUND
10
014.3043
014.3043
014.3043
GROWTH FUND
10
014.2621
014.2621
014.2621





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7199
010.7199
010.7199





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3564
010.3564
010.3564
SECURED FUND
10
010.1025
010.1025
010.1025
BALANCED FUND
10
010.2000
010.2000
010.2000
GROWTH FUND
10
011.0595
011.0595
011.0595

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


Saturday, January 23, 2010

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:22.01.2010............

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:22.01.2010............


BOND FUND
10
012.5532
012.5532
012.5532
SECURED FUND
10
012.0288
012.0288
012.0288
BALANCED FUND
10
012.6996
012.6996
012.6996
GROWTH FUND
10
010.9034
010.9034
010.9034

*** LIC's NAV's AS ON DATE:22.01.2010............

*** LIC's NAV's AS ON DATE:22.01.2010............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE

BIMA PLUS (140)

SECURED FUND
10
029.4649
027.9916
029.4649

BALANCED FUND
10
036.1006
034.2956
036.1006

RISK FUND
10
051.1749
048.6162
051.1749





FUTURE PLUS (172)

BOND FUND
10
013.4652
013.4652
013.4652

INCOME FUND
10
015.7028
015.7028
015.7028

BALANCED FUND
10
016.6286
016.6286
016.6286

GROWTH FUND
10
021.8206
021.8206
021.8206





JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005



BOND FUND
10
013.4734
013.4734
013.4734

SECURED FUND
10
013.8476
013.8476
013.8476

BALANCED FUND
10
014.2904
014.2904
014.2904

GROWTH FUND
10
020.1081
020.1081
020.1081

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006






BOND FUND
10
013.9304
013.9304
013.9304

SECURED FUND
10
013.6751
013.6751
013.6751

BALANCED FUND
10
013.5073
013.5073
013.5073

GROWTH FUND
10
014.2484
014.2484
014.2484





MONEY PLUS (180) DATE OF LAUNCH
20.12.2006



BOND FUND
10
012.6710
012.6710
012.6710

SECURED FUND
10
012.5730
012.5730
012.5730

BALANCED FUND
10
012.6841
012.6841
012.6841

GROWTH FUND
10
011.3571
011.3571
011.3571





FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007



BOND FUND
10
012.2387
012.2387
012.2387

SECURED FUND
10
012.3766
012.3766
012.3766

BALANCED FUND
10
011.4669
011.4669
011.4669

GROWTH FUND
10
011.0892
011.0892
011.0892





PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007



BOND FUND
10
012.5532
012.5532
012.5532

SECURED FUND
10
012.0288
012.0288
012.0288

BALANCED FUND
10
012.6996
012.6996
012.6996

GROWTH FUND
10
010.9034
010.9034
010.9034


GRATUITY PLUS DATE OF LAUNCH
16.06.2009



BOND FUND
10
13.2282 13.2282 13.2282
INCOME FUND
10
14.1010
14.1010
14.1010

BALANCED FUND
10
14.3618
14.3618
14.3618

GROWTH FUND
10
13.6014
13.6014
13.6014


HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008



HEALTH PLUS FUND
10
011.2961
011.2961
011.2961


MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5666
012.5666
012.5666

SECURED FUND
10
014.6518
014.6518
014.6518

BALANCED FUND
10
014.3777
014.3777
014.3777

GROWTH FUND
10
013.0762
013.0762
013.0762


MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.6084
011.6084
011.6084

SECURED FUND
10
012.2037
012.2037
012.2037

BALANCED FUND
10
012.2557
012.2557
012.2557

GROWTH FUND
10
013.1560
013.1560
013.1560


CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.8006
010.8006
010.8006

SECURED FUND
10
014.6741
014.6741
014.6741

BALANCED FUND
10
014.3061
014.3061
014.3061

GROWTH FUND
10
014.2621
014.2621
014.2621


HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.7215
010.7215
010.7215


JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3671
010.3671
010.3671

SECURED FUND
10
010.1019
010.1019
010.1019

BALANCED FUND
10
010.2052
010.2052
010.2052

GROWTH FUND
10
011.0628
011.0628
011.0628


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

Friday, January 22, 2010

### LIC's Unit Plans...........

### 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.

*** LIC's BIMA PLUS (140) NAV's AS ON DATE:20.01.2010............

*** LIC's BIMA PLUS (140) NAV's AS ON DATE:20.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE



SECURED FUND
10
029.7987
028.3088
029.7987
BALANCED FUND
10
036.9316
035.0850
036.9316
RISK FUND
10
052.8075
050.1671
052.8075

*** LIC's FUTURE PLUS (172) NAV's AS ON DATE:20.01.2010............

*** LIC's FUTURE PLUS (172) NAV's AS ON DATE:20.01.2010............


BOND FUND
10
013.4249
013.4249
013.4249
INCOME FUND
10
015.7569
015.7569
015.7569
BALANCED FUND
10
016.7633
016.7633
016.7633
GROWTH FUND
10
022.3232
022.3232
022.3232

*** LIC's MARKET PLUS (181) NAV's AS ON DATE:20.01.2010............

*** LIC's MARKET PLUS (181) NAV's AS ON DATE:20.01.2010............


BOND FUND
10
013.9024
013.9024
013.9024
SECURED FUND
10
013.7546
013.7546
013.7546
BALANCED FUND
10
013.6608
013.6608
013.6608
GROWTH FUND
10
014.5934
014.5934
014.5934

*** LIC's MONEY PLUS (180) NAV's AS ON DATE:20.01.2010............

*** LIC's MONEY PLUS (180) NAV's AS ON DATE:20.01.2010............



BOND FUND
10
012.6467
012.6467
012.6467
SECURED FUND
10
012.6569
012.6569
012.6569
BALANCED FUND
10
012.8470
012.8470
012.8470
GROWTH FUND
10
011.6295
011.6295
011.6295

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:20.01.2010............

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:20.01.2010............


BOND FUND
10
012.5354
012.5354
012.5354
SECURED FUND
10
012.4493
012.4493
012.4493
BALANCED FUND
10
013.0929
013.0929
013.0929
GROWTH FUND
10
011.1929
011.1929
011.1929

*** LIC's HEALTH PROTECTION PLUS (902) NAV's AS ON DATE:20.01.2010............

*** LIC's HEALTH PROTECTION PLUS (902) NAV's AS ON DATE:20.01.2010............


HEALTH PROTECTION PLUS FUND
10
010.7716
010.7716
010.7716

### Plans with drawn by LIC:

Plans with drawn by LIC

Jeevan Aastha


Jeevan Varsha


Fortune Plus


Health Plus

### SECTION 45 OF INSURANCE ACT 1938 ...........

SECTION 45 OF INSURANCE ACT 1938 – INDISPUTABILITY CLAUSE
  • No policy of Life Insurance shall, after the expiry of two years from the date on which it was effected, be called in question by an Insurer on the ground that a statement made in the proposal for insurance or any report of a medical officer or referee or friend of the Insured or in any other document leading to the issue of the Policy, was inaccurate or false, unless the insurer shows such statement was on material matter or suppressed facts which it was material to disclose and that it was fraudulently made by the policy holder and that the policy holder knew at the time of making it that the statement was false or that it suppressed facts which it was material to disclose.

### Statutory warning..........

Statutory warning.........
  • Some benefits are guaranteed and some benefits are variable with returns based on the future performance of the life insurance company.
  • If your policy offers guaranteed returns then these will be clearly marked “guaranteed” in the illustration table on this page.
  • If your policy offers variable returns then the illustrations on this page will show two different rates of assumed investment returns.
  • These assumed rates of return are not guaranteed and they are not upper or lower limits of what you might get back as the value of your policy is dependant on a number of factors including future investment performance.

Statutory warning..........

Statutory warning
“Some benefits are guaranteed and some benefits are variable with returns based on the future performance of the life insurance company. If your policy offers guaranteed returns then these will be clearly marked “guaranteed” in the illustration table on this page. If your policy offers variable returns then the illustrations on this page will show two different rates of assumed investment returns. These assumed rates of return are not guaranteed and they are not upper or lower limits of what you might get back as the value of your policy is dependant on a number of factors including future investment performance.”

Statutory warning..........

Statutory warning
“Some benefits are guaranteed and some benefits are variable with returns based on the future performance of the life insurance company. If your policy offers guaranteed returns then these will be clearly marked “guaranteed” in the illustration table on this page. If your policy offers variable returns then the illustrations on this page will show two different rates of assumed investment returns. These assumed rates of return are not guaranteed and they are not upper or lower limits of what you might get back as the value of your policy is dependant on a number of factors including future investment performance.”

Statutory warning..........

Statutory warning
“Some benefits are guaranteed and some benefits are variable with returns based on the future performance of the life insurance company. If your policy offers guaranteed returns then these will be clearly marked “guaranteed” in the illustration table on this page. If your policy offers variable returns then the illustrations on this page will show two different rates of assumed investment returns. These assumed rates of return are not guaranteed and they are not upper or lower limits of what you might get back as the value of your policy is dependant on a number of factors including future investment performance.”

### INVESTMENT OF FUNDS for Health Protection Plus .........

### INVESTMENT OF FUNDS for Health Protection Plus Plan .........
  • The premiums allocated to purchase units will be strictly invested in a Health Protection Plus Fund (Income and Growth – Low Risk) as follows:
A. Government/ Government Guaranteed/ Corporate Securities/ Debt:Not less than 50%
B. Short term investments: Money Market instruments including A above:Not more than 90%
C. Investment in listed equity shares:Not less than 10% & Not more than 50%

### Applicability of Net Asset Value (NAV)............

### Applicability of Net Asset Value (NAV):
  • The premiums received up to 3 p.m. (as per IRDA guidelines) by the servicing branch of the corporation by a local cheque or by a demand draft payable at par at the place where the premium is received, the closing NAV of the day on which premium is received shall be applicable.
  • The premiums received after such time by the servicing branch of the corporation by a local cheque or by a demand draft payable at par at the place where the premium is received, the closing NAV of the next business day shall be applicable.

### Premium Allocation Charge for ULIPs..................

### Premium Allocation Charge :
  • This is the percentage of the premium appropriated towards charges from the premium received.
  • The balance known as allocation rate constitutes that part of the premium which is utilized to purchase (Investment) units for the policy.

### Premium Allocation Charge for ULIPs..................

### Premium Allocation Charge :
  • This is the percentage of the premium appropriated towards charges from the premium received.
  • The balance known as allocation rate constitutes that part of the premium which is utilized to purchase (Investment) units for the policy.

### Method of Calculation of Unit price..............

### Method of Calculation of Unit price..............
  • Units will be allotted based on the Net Asset Value (NAV) on the date of allotment.
  • There is no Bid-Offer spread.
  • The NAV will be computed on daily basis and will be based on investment performance, Fund Management Charge and whether the fund is expanding or contracting.

### Health Protection Plus..........

### LIC's Health Protection Plus..........
  • Health is a major concern on everybody?s mind these days.
  • With sky rocketing medical expenses, the possibility of any illness leading to hospitalization or surgery is a constant source of anxiety unless the family has actively provided for funds to meet such an eventuality.
  • Most families rarely provide for healthcare, and even if they do, it is grossly inadequate.
  • Given this scenario, LIC has launched LIC's Health Protection Plus plan, a unique long term health insurance plan that can combine health insurance covers for the entire family (husband, wife and the children) Hospital Cash Benefit (HCB) and Major Surgical Benefit (MSB) along with a ULIP component (investment in the form of Units) that is specifically designed to meet Domiciliary Treatment Benefit (DTB) / Out Patient Department (OPD) expenses for the insured members.

### LIC’s JEEVAN MANGAL PLAN ....................

### LIC’s JEEVAN MANGAL PLAN – (MICRO INSURANCE PRODUCT):

  • LIC’s Jeevan Mangal is a term assurance plan with return of premiums on maturity, where you may pay the premiums either in lump sum or regularly at Yearly, Half Yearly, Quarterly, Monthly, fortnightly or weekly intervals over the term of the policy.

### LIC's Unit plans..........

### LIC's 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.

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:20.01.2010............

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:20.01.2010............


BOND FUND
10
012.5354
012.5354
012.5354
SECURED FUND
10
012.4493
012.4493
012.4493
BALANCED FUND
10
013.0929
013.0929
013.0929
GROWTH FUND
10
011.1929
011.1929
011.1929

*** LIC's NAV's AS ON DATE:20.01.2010............

*** LIC's NAV's AS ON DATE:20.01.2010............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
029.7987
028.3088
029.7987
BALANCED FUND
10
036.9316
035.0850
036.9316
RISK FUND
10
052.8075
050.1671
052.8075



FUTURE PLUS (172)

BOND FUND
10
013.4249
013.4249
013.4249
INCOME FUND
10
015.7569
015.7569
015.7569
BALANCED FUND
10
016.7633
016.7633
016.7633
GROWTH FUND
10
022.3232
022.3232
022.3232





JEEVAN PLUS (173)

BOND FUND
10
013.4433
013.4433
013.4433
SECURED FUND
10
013.8760
013.8760
013.8760
BALANCED FUND
10
014.3968
014.3968
014.3968
GROWTH FUND
10
020.5835
020.5835
020.5835



MARKET PLUS (181)
BOND FUND
10
013.9024
013.9024
013.9024
SECURED FUND
10
013.7546
013.7546
013.7546
BALANCED FUND
10
013.6608
013.6608
013.6608
GROWTH FUND
10
014.5934
014.5934
014.5934





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6467
012.6467
012.6467
SECURED FUND
10
012.6569
012.6569
012.6569
BALANCED FUND
10
012.8470
012.8470
012.8470
GROWTH FUND
10
011.6295
011.6295
011.6295





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2095
012.2095
012.2095
SECURED FUND
10
012.5486
012.5486
012.5486
BALANCED FUND
10
011.6694
011.6694
011.6694
GROWTH FUND
10
011.3788
011.3788
011.3788





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5354
012.5354
012.5354
SECURED FUND
10
012.4493
012.4493
012.4493
BALANCED FUND
10
013.0929
013.0929
013.0929
GROWTH FUND
10
011.1929
011.1929
011.1929

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1941
13.1941
13.1941
INCOME FUND
10
14.1854
14.1854
14.1854
BALANCED FUND
10
14.5278
14.5278
14.5278
GROWTH FUND
10
13.7651
13.7651
13.7651

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.4010
011.4010
011.4010





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



BOND FUND
10
012.5355
012.5355
012.5355
SECURED FUND
10
014.9288
014.9288
014.9288
BALANCED FUND
10
014.6640
014.6640
014.6640
GROWTH FUND
10
013.2666
013.2666
013.2666





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



BOND FUND
10
011.5828
011.5828
011.5828
SECURED FUND
10
012.5209
012.5209
012.5209
BALANCED FUND
10
012.5517
012.5517
012.5517
GROWTH FUND
10
013.4934
013.4934
013.4934





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7847
010.7847
010.7847
SECURED FUND
10
014.7829
014.7829
014.7829
BALANCED FUND
10
014.5881
014.5881
014.5881
GROWTH FUND
10
014.4605
014.4605
014.4605





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7716
010.7716
010.7716





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.3275
010.3275
010.3275
SECURED FUND
10
010.1009
010.1009
010.1009
BALANCED FUND
10
010.1847
010.1847
010.1847
GROWTH FUND
10
011.3290
011.3290
011.3290

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


Sunday, January 17, 2010

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:16.01.2010............

*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:16.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BOND FUND
10
012.5267
012.5267
012.5267
SECURED FUND
10
012.4564
012.4564
012.4564
BALANCED FUND
10
013.1044
013.1044
013.1044
GROWTH FUND
10
011.2262
011.2262
011.2262

*** LIC's NAV's AS ON DATE:16.01.2010............

*** LIC's NAV's AS ON DATE:16.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.9017
028.4066
029.9017
BALANCED FUND
10
037.0891
035.2347
037.0891
RISK FUND
10
052.9755
050.3267
052.9755





FUTURE PLUS (172)


BOND FUND
10
013.4164
013.4164
013.4164
INCOME FUND
10
015.7679
015.7679
015.7679
BALANCED FUND
10
016.8115
016.8115
016.8115
GROWTH FUND
10
022.5287
022.5287
022.5287





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4263
013.4263
013.4263
SECURED FUND
10
013.8712
013.8712
013.8712
BALANCED FUND
10
014.4091
014.4091
014.4091
GROWTH FUND
10
020.6533
020.6533
020.6533
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.8882
013.8882
013.8882
SECURED FUND
10
013.7647
013.7647
013.7647
BALANCED FUND
10
013.6818
013.6818
013.6818
GROWTH FUND
10
014.6631
014.6631
014.6631





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6391
012.6391
012.6391
SECURED FUND
10
012.6563
012.6563
012.6563
BALANCED FUND
10
012.8344
012.8344
012.8344
GROWTH FUND
10
011.6691
011.6691
011.6691





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2005
012.2005
012.2005
SECURED FUND
10
012.5247
012.5247
012.5247
BALANCED FUND
10
011.7398
011.7398
011.7398
GROWTH FUND
10
011.3982
011.3982
011.3982





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5267
012.5267
012.5267
SECURED FUND
10
012.4564
012.4564
012.4564
BALANCED FUND
10
013.1044
013.1044
013.1044
GROWTH FUND
10
011.2262
011.2262
011.2262

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1741
13.1741
13.1741
INCOME FUND
10
14.1597
14.1597
14.1597
BALANCED FUND
10
14.5343
14.5343
14.5343
GROWTH FUND
10
13.7552
13.7552
13.7552

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.4049
011.4049
011.4049





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



BOND FUND
10
012.5247
012.5247
012.5247
SECURED FUND
10
015.0282
015.0282
015.0282
BALANCED FUND
10
014.7090
014.7090
014.7090
GROWTH FUND
10
013.2756
013.2756
013.2756





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



BOND FUND
10
011.5694
011.5694
011.5694
SECURED FUND
10
012.5623
012.5623
012.5623
BALANCED FUND
10
012.5945
012.5945
012.5945
GROWTH FUND
10
013.5460
013.5460
013.5460





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7688
010.7688
010.7688
SECURED FUND
10
014.8291
014.8291
014.8291
BALANCED FUND
10
014.5873
014.5873
014.5873
GROWTH FUND
10
014.4844
014.4844
014.4844





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7858
010.7858
010.7858





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
010.3079
010.3079
010.3079
SECURED FUND
10
010.0989
010.0989
010.0989
BALANCED FUND
10
010.1740
010.1740
010.1740
GROWTH FUND
10
011.3865
011.3865
011.3865

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


Friday, January 15, 2010

*** LIC's NAV as on date:15.01.2010...........

*** LIC's NAV as on date:15.01.2010...........


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.9017
028.4066
029.9017
BALANCED FUND
10
037.0891
035.2347
037.0891
RISK FUND
10
052.9755
050.3267
052.9755





FUTURE PLUS (172)


BOND FUND
10
013.4175
013.4175
013.4175
INCOME FUND
10
015.7735
015.7735
015.7735
BALANCED FUND
10
016.8119
016.8119
016.8119
GROWTH FUND
10
022.5294
022.5294
022.5294





JEEVAN PLUS (173)


BOND FUND
10
013.4467
013.4467
013.4467
SECURED FUND
10
013.8773
013.8773
013.8773
BALANCED FUND
10
014.4079
014.4079
014.4079
GROWTH FUND
10
020.6543
020.6543
020.6543
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.8887
013.8887
013.8887
SECURED FUND
10
013.7610
013.7610
013.7610
BALANCED FUND
10
013.6852
013.6852
013.6852
GROWTH FUND
10
014.6636
014.6636
014.6636





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6332
012.6332
012.6332
SECURED FUND
10
012.6592
012.6592
012.6592
BALANCED FUND
10
012.8349
012.8349
012.8349
GROWTH FUND
10
011.6700
011.6700
011.6700





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2091
012.2091
012.2091
SECURED FUND
10
012.5250
012.5250
012.5250
BALANCED FUND
10
011.7401
011.7401
011.7401
GROWTH FUND
10
011.3991
011.3991
011.3991





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5387
012.5387
012.5387
SECURED FUND
10
012.4642
012.4642
012.4642
BALANCED FUND
10
013.1099
013.1099
013.1099
GROWTH FUND
10
011.2278
011.2278
011.2278

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1813
13.1813
13.1813
INCOME FUND
10
14.1720
14.1720
14.1720
BALANCED FUND
10
14.4315
14.4315
14.4315
GROWTH FUND
10
13.7567
13.7567
13.7567

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.4090
011.4090
011.4090





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



BOND FUND
10
012.5292
012.5292
012.5292
SECURED FUND
10
015.0303
015.0303
015.0303
BALANCED FUND
10
014.7119
014.7119
014.7119
GROWTH FUND
10
013.2768
013.2768
013.2768





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



BOND FUND
10
011.5785
011.5785
011.5785
SECURED FUND
10
012.5676
012.5676
012.5676
BALANCED FUND
10
012.6014
012.6014
012.6014
GROWTH FUND
10
013.5474
013.5474
013.5474





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7731
010.7731
010.7731
SECURED FUND
10
014.8308
014.8308
014.8308
BALANCED FUND
10
014.5893
014.5893
014.5893
GROWTH FUND
10
014.4866
014.4866
014.4866





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7844
010.7844
010.7844





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
010.3086
010.3086
010.3086
SECURED FUND
10
010.0985
010.0985
010.0985
BALANCED FUND
10
010.1742
010.1742
010.1742
GROWTH FUND
10
011.3857
011.3857
011.3857

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

*** LIC's PROFIT PLUS (188) NAV as on date:15.01.2010...........

*** LIC's PROFIT PLUS (188) NAV as on date:15.01.2010...........


BOND FUND
10
012.5387
012.5387
012.5387
SECURED FUND
10
012.4642
012.4642
012.4642
BALANCED FUND
10
013.1099
013.1099
013.1099
GROWTH FUND
10
011.2278
011.2278
011.2278

*** LIC's PROFIT PLUS (188) NAV as on date:15.01.2010...........

*** LIC's PROFIT PLUS (188) NAV as on date:15.01.2010...........


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.9017
028.4066
029.9017
BALANCED FUND
10
037.0891
035.2347
037.0891
RISK FUND
10
052.9755
050.3267
052.9755





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.4175
013.4175
013.4175
INCOME FUND
10
015.7735
015.7735
015.7735
BALANCED FUND
10
016.8119
016.8119
016.8119
GROWTH FUND
10
022.5294
022.5294
022.5294





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4467
013.4467
013.4467
SECURED FUND
10
013.8773
013.8773
013.8773
BALANCED FUND
10
014.4079
014.4079
014.4079
GROWTH FUND
10
020.6543
020.6543
020.6543
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.8887
013.8887
013.8887
SECURED FUND
10
013.7610
013.7610
013.7610
BALANCED FUND
10
013.6852
013.6852
013.6852
GROWTH FUND
10
014.6636
014.6636
014.6636





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6332
012.6332
012.6332
SECURED FUND
10
012.6592
012.6592
012.6592
BALANCED FUND
10
012.8349
012.8349
012.8349
GROWTH FUND
10
011.6700
011.6700
011.6700





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.2091
012.2091
012.2091
SECURED FUND
10
012.5250
012.5250
012.5250
BALANCED FUND
10
011.7401
011.7401
011.7401
GROWTH FUND
10
011.3991
011.3991
011.3991





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5387
012.5387
012.5387
SECURED FUND
10
012.4642
012.4642
012.4642
BALANCED FUND
10
013.1099
013.1099
013.1099
GROWTH FUND
10
011.2278
011.2278
011.2278

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1813
13.1813
13.1813
INCOME FUND
10
14.1720
14.1720
14.1720
BALANCED FUND
10
14.4315
14.4315
14.4315
GROWTH FUND
10
13.7567
13.7567
13.7567

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.4090
011.4090
011.4090





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



BOND FUND
10
012.5292
012.5292
012.5292
SECURED FUND
10
015.0303
015.0303
015.0303
BALANCED FUND
10
014.7119
014.7119
014.7119
GROWTH FUND
10
013.2768
013.2768
013.2768





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



BOND FUND
10
011.5785
011.5785
011.5785
SECURED FUND
10
012.5676
012.5676
012.5676
BALANCED FUND
10
012.6014
012.6014
012.6014
GROWTH FUND
10
013.5474
013.5474
013.5474





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7731
010.7731
010.7731
SECURED FUND
10
014.8308
014.8308
014.8308
BALANCED FUND
10
014.5893
014.5893
014.5893
GROWTH FUND
10
014.4866
014.4866
014.4866





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7844
010.7844
010.7844





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
010.3086
010.3086
010.3086
SECURED FUND
10
010.0985
010.0985
010.0985
BALANCED FUND
10
010.1742
010.1742
010.1742
GROWTH FUND
10
011.3857
011.3857
011.3857

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


Thursday, January 14, 2010

*** LIC's PROFIT PLUS (188) NAV as on date:14.01.2010...........

*** LIC's PROFIT PLUS (188) NAV as on date:14.01.2010...........

BOND FUND
10
012.5126
012.5126
012.5126
SECURED FUND
10
012.4511
012.4511
012.4511
BALANCED FUND
10
013.0999
013.0999
013.0999
GROWTH FUND
10
011.2408
011.2408
011.2408

*** LIC's NAV as on date:14.01.2010...........

*** LIC's NAV as on date:14.01.2010...........

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.6218
028.1407
029.6218
BALANCED FUND
10
036.7970
034.9572
036.7970
RISK FUND
10
052.6181
049.9872
052.6181





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.3978
013.3978
013.3978
INCOME FUND
10
015.7602
015.7602
015.7602
BALANCED FUND
10
016.7915
016.7915
016.7915
GROWTH FUND
10
022.4949
022.4949
022.4949





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4005
013.4005
013.4005
SECURED FUND
10
013.8510
013.8510
013.8510
BALANCED FUND
10
014.3946
014.3946
014.3946
GROWTH FUND
10
020.6226
020.6226
020.6226
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.8660
013.8660
013.8660
SECURED FUND
10
013.7441
013.7441
013.7441
BALANCED FUND
10
013.6462
013.6462
013.6462
GROWTH FUND
10
014.6609
014.6609
014.6609





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6211
012.6211
012.6211
SECURED FUND
10
012.6296
012.6296
012.6296
BALANCED FUND
10
012.8069
012.8069
012.8069
GROWTH FUND
10
011.6717
011.6717
011.6717





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.1800
012.1800
012.1800
SECURED FUND
10
012.5012
012.5012
012.5012
BALANCED FUND
10
011.6279
011.6279
011.6279
GROWTH FUND
10
011.4011
011.4011
011.4011





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5126
012.5126
012.5126
SECURED FUND
10
012.4511
012.4511
012.4511
BALANCED FUND
10
013.0999
013.0999
013.0999
GROWTH FUND
10
011.2408
011.2408
011.2408

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1638
13.1638
13.1638
INCOME FUND
10
14.1503
14.1503
14.1503
BALANCED FUND
10
14.4045
14.4045
14.4045
GROWTH FUND
10
13.7269
13.7269
13.7269

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.3958
011.3958
011.3958





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



BOND FUND
10
012.5077
012.5077
012.5077
SECURED FUND
10
014.8707
014.8707
014.8707
BALANCED FUND
10
014.6400
014.6400
014.6400
GROWTH FUND
10
013.2804
013.2804
013.2804





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



BOND FUND
10
011.5577
011.5577
011.5577
SECURED FUND
10
012.5426
012.5426
012.5426
BALANCED FUND
10
012.5819
012.5819
012.5819
GROWTH FUND
10
013.5582
013.5582
013.5582





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7610
010.7610
010.7610
SECURED FUND
10
014.7228
014.7228
014.7228
BALANCED FUND
10
014.5189
014.5189
014.5189
GROWTH FUND
10
014.4618
014.4618
014.4618





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7710
010.7710
010.7710





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
010.2921
010.2921
010.2921
SECURED FUND
10
010.0979
010.0979
010.0979
BALANCED FUND
10
010.1657
010.1657
010.1657
GROWTH FUND
10
011.3848
011.3848
011.3848

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


Monday, January 11, 2010

***LIC's BIMA PLUS (140) NAV'S AS ON DATE 09.01.2010............

***LIC's BIMA PLUS (140) NAV'S AS ON DATE 09.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
029.5700
028.0915
029.5700
BALANCED FUND
10
036.9993
035.1494
036.9993
RISK FUND
10
053.0104
050.3599
053.0104

***LIC's FUTURE PLUS (172) NAV'S AS ON DATE 09.01.2010............

***LIC's FUTURE PLUS (172) NAV'S AS ON DATE 09.01.2010............

BOND FUND
10
013.3808
013.3808
013.3808
INCOME FUND
10
015.7439
015.7439
015.7439
BALANCED FUND
10
016.7565
016.7565
016.7565
GROWTH FUND
10
022.3341
022.3341
022.3341

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 09.01.2010............

***LIC's PROFIT PLUS (188) NAV'S AS ON DATE 09.01.2010............





BOND FUND
10
012.5046
012.5046
012.5046
SECURED FUND
10
012.4730
012.4730
012.4730
BALANCED FUND
10
013.0826
013.0826
013.0826
GROWTH FUND
10
011.2530
011.2530
011.2530

***LIC's NAV'S AS ON DATE 09.01.2010............

***LIC's NAV'S AS ON DATE 09.01.2010............

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
029.5700
028.0915
029.5700
BALANCED FUND
10
036.9993
035.1494
036.9993
RISK FUND
10
053.0104
050.3599
053.0104





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.3808
013.3808
013.3808
INCOME FUND
10
015.7439
015.7439
015.7439
BALANCED FUND
10
016.7565
016.7565
016.7565
GROWTH FUND
10
022.3341
022.3341
022.3341





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.4142
013.4142
013.4142
SECURED FUND
10
013.8290
013.8290
013.8290
BALANCED FUND
10
014.3651
014.3651
014.3651
GROWTH FUND
10
020.5191
020.5191
020.5191
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006








BOND FUND
10
013.8562
013.8562
013.8562
SECURED FUND
10
013.7073
013.7073
013.7073
BALANCED FUND
10
013.6453
013.6453
013.6453
GROWTH FUND
10
014.6075
014.6075
014.6075





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
012.6083
012.6083
012.6083
SECURED FUND
10
012.6134
012.6134
012.6134
BALANCED FUND
10
012.7991
012.7991
012.7991
GROWTH FUND
10
011.6576
011.6576
011.6576





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.1705
012.1705
012.1705
SECURED FUND
10
012.5351
012.5351
012.5351
BALANCED FUND
10
011.5502
011.5502
011.5502
GROWTH FUND
10
011.4055
011.4055
011.4055





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5046
012.5046
012.5046
SECURED FUND
10
012.4730
012.4730
012.4730
BALANCED FUND
10
013.0826
013.0826
013.0826
GROWTH FUND
10
011.2530
011.2530
011.2530

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1908
13.1908
13.1908
INCOME FUND
10
14.1662
14.1662
14.1662
BALANCED FUND
10
14.5102
14.5102
14.5102
GROWTH FUND
10
13.7122
13.7122
13.7122

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
011.3815
011.3815
011.3815





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



BOND FUND
10
012.4930
012.4930
012.4930
SECURED FUND
10
014.6903
014.6903
014.6903
BALANCED FUND
10
014.5228
014.5228
014.5228
GROWTH FUND
10
013.2714
013.2714
013.2714





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



BOND FUND
10
011.5479
011.5479
011.5479
SECURED FUND
10
012.5185
012.5185
012.5185
BALANCED FUND
10
012.5664
012.5664
012.5664
GROWTH FUND
10
013.5418
013.5418
013.5418





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
010.7543
010.7543
010.7543
SECURED FUND
10
014.5472
014.5472
014.5472
BALANCED FUND
10
014.4125
014.4125
014.4125
GROWTH FUND
10
014.4638
014.4638
014.4638





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
010.7531
010.7531
010.7531





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
010.2740
010.2740
010.2740
SECURED FUND
10
010.0951
010.0951
010.0951
BALANCED FUND
10
010.1555
010.1555
010.1555
GROWTH FUND
10
011.3097
011.3097
011.3097

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


Friday, January 8, 2010

### INCOME-TAX RATES FOR ASSESSMENT YEAR 2010-2011 (FINANCIAL YEAR 2009-2010)............

### INCOME-TAX RATES FOR ASSESSMENT YEAR 2010-2011 (FINANCIAL YEAR 2009-2010)............
(Individual & HUF below age of 65 years)
Income Slabs -----------Tax RatesNil


Income upto Rs.1,60,000-------NIL

Rs.1,60,001 to Rs.3,00,000 ----10%

Rs.3,00,001 to Rs.5,00,000 ----20%

Above Rs.5,00,001 -------------30%

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

### 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.

Thursday, January 7, 2010

### LIC's BIMA PLUS (140) NAV as on Date:07/01/2010.........

### LIC's BIMA PLUS (140) NAV as on Date:07/01/2010.........


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
29.6868
28.2024
29.6868
BALANCED FUND
10
37.0775
35.2236
37.0775
RISK FUND
10
53.2247
50.5635
53.2247

### LIC's FUTURE PLUS (172) NAV as on Date:07/01/2010.........

### LIC's FUTURE PLUS (172) NAV as on Date:07/01/2010.........

FUTURE PLUS (172)


BOND FUND
10
13.3798
13.3798
13.3798
INCOME FUND
10
15.7573
15.7573
15.7573
BALANCED FUND
10
16.7781
16.7781
16.7781
GROWTH FUND
10
22.3806
22.3806
22.3806

### LIC's PROFIT PLUS (188) NAV as on Date:07/01/2010.........

### LIC's PROFIT PLUS (188) NAV as on Date:07/01/2010.........




BOND FUND
10
12.5113
12.5113
12.5113
SECURED FUND
10
12.4524
12.4524
12.4524
BALANCED FUND
10
13.0728
13.0728
13.0728
GROWTH FUND
10
11.2602
11.2602
11.2602

### LIC's NAV'S AS ON DATE_07.01.2010............

### LIC's NAV'S AS ON DATE_07.01.2010............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
29.6868
28.2024
29.6868
BALANCED FUND
10
37.0775
35.2236
37.0775
RISK FUND
10
53.2247
50.5635
53.2247





FUTURE PLUS (172)

BOND FUND
10
13.3798
13.3798
13.3798
INCOME FUND
10
15.7573
15.7573
15.7573
BALANCED FUND
10
16.7781
16.7781
16.7781
GROWTH FUND
10
22.3806
22.3806
22.3806





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
13.4242
13.4242
13.4242
SECURED FUND
10
13.8358
13.8358
13.8358
BALANCED FUND
10
14.3706
14.3706
14.3706
GROWTH FUND
10
20.5700
20.5700
20.5700





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.6249
12.6249
12.6249
SECURED FUND
10
12.6322
12.6322
12.6322
BALANCED FUND
10
12.8171
12.8171
12.8171
GROWTH FUND
10
11.6682
11.6682
11.6682





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.8721
13.8721
13.8721
SECURED FUND
10
13.7180
13.7180
13.7180
BALANCED FUND
10
13.6641
13.6641
13.6641
GROWTH FUND
10
14.6246
14.6246
14.6246





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.1817
12.1817
12.1817
SECURED FUND
10
12.5390
12.5390
12.5390
BALANCED FUND
10
11.5657
11.5657
11.5657
GROWTH FUND
10
11.4113
11.4113
11.4113





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.5113
12.5113
12.5113
SECURED FUND
10
12.4524
12.4524
12.4524
BALANCED FUND
10
13.0728
13.0728
13.0728
GROWTH FUND
10
11.2602
11.2602
11.2602

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1908
13.1908
13.1908
INCOME FUND
10
14.1662
14.1662
14.1662
BALANCED FUND
10
14.5102
14.5102
14.5102
GROWTH FUND
10
13.7122
13.7122
13.7122

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
11.3903
11.3903
11.3903





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



BOND FUND
10
12.4975
12.4975
12.4975
SECURED FUND
10
14.7056
14.7056
14.7056
BALANCED FUND
10
14.5415
14.5415
14.5415
GROWTH FUND
10
13.2794
13.2794
13.2794





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



BOND FUND
10
11.5540
11.5540
11.5540
SECURED FUND
10
12.5109
12.5109
12.5109
BALANCED FUND
10
12.5604
12.5604
12.5604
GROWTH FUND
10
13.5457
13.5457
13.5457





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.7582
10.7582
10.7582
SECURED FUND
10
14.5494
14.5494
14.5494
BALANCED FUND
10
14.4015
14.4015
14.4015
GROWTH FUND
10
14.4478
14.4478
14.4478





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
10.7513
10.7513
10.7513





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
10.2817
10.2817
10.2817
SECURED FUND
10
10.0940
10.0940
10.0940
BALANCED FUND
10
10.1591
10.1591
10.1591
GROWTH FUND
10
11.3118
11.3118
11.3118

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

*** LIC's NAV'S AS ON DATE:06.01.2010.............

*** LIC's NAV'S AS ON DATE:06.01.2010.............


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)


SECURED FUND
10
29.6868
28.2024
29.6868
BALANCED FUND
10
37.0775
35.2236
37.0775
RISK FUND
10
53.2247
50.5635
53.2247





FUTURE PLUS (172)



BOND FUND
10
13.3830
13.3830
13.3830
INCOME FUND
10
15.7608
15.7608
15.7608
BALANCED FUND
10
16.7801
16.7801
16.7801
GROWTH FUND
10
22.4655
22.4655
22.4655





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
13.4386
13.4386
13.4386
SECURED FUND
10
13.8604
13.8604
13.8604
BALANCED FUND
10
14.3624
14.3624
14.3624
GROWTH FUND
10
20.6476
20.6476
20.6476





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.6317
12.6317
12.6317
SECURED FUND
10
12.6521
12.6521
12.6521
BALANCED FUND
10
12.8560
12.8560
12.8560
GROWTH FUND
10
11.6927
11.6927
11.6927





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.8728
13.8728
13.8728
SECURED FUND
10
13.7362
13.7362
13.7362
BALANCED FUND
10
13.6952
13.6952
13.6952
GROWTH FUND
10
14.6605
14.6605
14.6605





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.1966
12.1966
12.1966
SECURED FUND
10
12.5638
12.5638
12.5638
BALANCED FUND
10
11.5672
11.5672
11.5672
GROWTH FUND
10
11.4346
11.4346
11.4346





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.5205
12.5205
12.5205
SECURED FUND
10
12.5225
12.5225
12.5225
BALANCED FUND
10
13.1543
13.1543
13.1543
GROWTH FUND
10
11.2799
11.2799
11.2799

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
13.1908
13.1908
13.1908
INCOME FUND
10
14.1662
14.1662
14.1662
BALANCED FUND
10
14.5102
14.5102
14.5102
GROWTH FUND
10
13.7122
13.7122
13.7122

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
11.4041
11.4041
11.4041





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



BOND FUND
10
12.5078
12.5078
12.5078
SECURED FUND
10
14.7114
14.7114
14.7114
BALANCED FUND
10
14.5456
14.5456
14.5456
GROWTH FUND
10
13.2788
13.2788
13.2788





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



BOND FUND
10
11.5562
11.5562
11.5562
SECURED FUND
10
12.5458
12.5458
12.5458
BALANCED FUND
10
12.5905
12.5905
12.5905
GROWTH FUND
10
13.5593
13.5593
13.5593





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.7593
10.7593
10.7593
SECURED FUND
10
14.5600
14.5600
14.5600
BALANCED FUND
10
14.4194
14.4194
14.4194
GROWTH FUND
10
14.4482
14.4482
14.4482





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
10.7544
10.7544
10.7544





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
10.2924
10.2924
10.2924
SECURED FUND
10
10.0934
10.0934
10.0934
BALANCED FUND
10
10.1643
10.1643
10.1643
GROWTH FUND
10
11.3491
11.3491
11.3491

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

Wednesday, January 6, 2010

### Features of Profit Plus (T-188):

### Features of Profit Plus (T-188):
* 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.
* Four types of investment Funds are offered.
* Premiums paid after allocation charge will purchase units of the Fund type chosen.
*The Unit Fund is subject to various charges and value of units may increase or decrease, depending on the Net Asset Value (NAV).

***LIC's NAV'S AS ON DATE_05.01.2010..........

***LIC's NAV'S AS ON DATE_05.01.2010..........


BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE


BIMA PLUS (140)

SECURED FUND
10
29.6868
28.2024
29.6868
BALANCED FUND
10
37.0775
35.2236
37.0775
RISK FUND
10
53.2247
50.5635
53.2247





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
13.3760
13.3760
13.3760
INCOME FUND
10
15.7565
15.7565
15.7565
BALANCED FUND
10
16.7426
16.7426
16.7426
GROWTH FUND
10
22.4260
22.4260
22.4260





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
13.4180
13.4180
13.4180
SECURED FUND
10
13.8707
13.8707
13.8707
BALANCED FUND
10
14.3505
14.3505
14.3505
GROWTH FUND
10
20.6413
20.6413
20.6413





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
12.6212
12.6212
12.6212
SECURED FUND
10
12.6395
12.6395
12.6395
BALANCED FUND
10
12.8398
12.8398
12.8398
GROWTH FUND
10
11.6731
11.6731
11.6731





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
13.8598
13.8598
13.8598
SECURED FUND
10
13.7235
13.7235
13.7235
BALANCED FUND
10
13.6886
13.6886
13.6886
GROWTH FUND
10
14.6249
14.6249
14.6249





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.1897
12.1897
12.1897
SECURED FUND
10
12.5045
12.5045
12.5045
BALANCED FUND
10
11.5008
11.5008
11.5008
GROWTH FUND
10
11.4057
11.4057
11.4057





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
12.5126
12.5126
12.5126
SECURED FUND
10
12.5295
12.5295
12.5295
BALANCED FUND
10
13.1490
13.1490
13.1490
GROWTH FUND
10
11.2651
11.2651
11.2651

GRATUITY PLUS
DATE OF LAUNCH16.06.2009



BOND FUND
10
12.9961
12.9961
12.9961
INCOME FUND
10
13.8441
13.8441
13.8441
BALANCED FUND
10
14.1198
14.1198
14.1198
GROWTH FUND
10
13.2871
13.2871
13.2871

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
11.3957
11.3957
11.3957





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



BOND FUND
10
12.5175
12.5175
12.5175
SECURED FUND
10
14.7115
14.7115
14.7115
BALANCED FUND
10
14.5481
14.5481
14.5481
GROWTH FUND
10
13.2653
13.2653
13.2653





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



BOND FUND
10
11.5564
11.5564
11.5564
SECURED FUND
10
12.5370
12.5370
12.5370
BALANCED FUND
10
12.5920
12.5920
12.5920
GROWTH FUND
10
13.5332
13.5332
13.5332





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
10.7567
10.7567
10.7567
SECURED FUND
10
14.5469
14.5469
14.5469
BALANCED FUND
10
14.4090
14.4090
14.4090
GROWTH FUND
10
14.4354
14.4354
14.4354





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
10.7619
10.7619
10.7619





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009.



BOND FUND
10
10.2860
10.2860
10.2860
SECURED FUND
10
10.0928
10.0928
10.0928
BALANCED FUND
10
10.1609
10.1609
10.1609
GROWTH FUND
10
11.3638
11.3638
11.3638

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