Saturday, September 25, 2010

### LIC's Pension Plus....

### LIC's Pension Plus....

*LIC’s Pension Plus is a unit linked deferred pension plan, which provides you a minimum guarantee on the gross premiums paid.

*The plan is without any life cover.

*You have a choice of investing your premiums in one of the two types of investment funds available.
* Premiums paid after deduction of 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:24/09/2010...

*** LIC's NAV'S AS ON DATE:24/09/2010...

BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE

BIMA PLUS (140)

SECURED FUND
10
032.8120
031.1714
032.8120
BALANCED FUND
10
044.2663
042.0530
044.2663
RISK FUND
10
065.5381
062.2612
065.5381





FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005



BOND FUND
10
013.7867
013.7867
013.7867
INCOME FUND
10
016.4996
016.4996
016.4996
BALANCED FUND
10
017.8735
017.8735
017.8735
GROWTH FUND
10
025.3676
025.3676
025.3676





JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005



BOND FUND
10
013.7473
013.7473
013.7473
SECURED FUND
10
014.6773
014.6773
014.6773
BALANCED FUND
10
015.1040
015.1040
015.1040
GROWTH FUND
10
024.0697
024.0697
024.0697





MARKET PLUS (181)
DATE OF LAUNCH05.07.2006



BOND FUND
10
014.2566
014.2566
014.2566
SECURED FUND
10
014.7328
014.7328
014.7328
BALANCED FUND
10
015.1036
015.1036
015.1036
GROWTH FUND
10
016.5475
016.5475
016.5475





MONEY PLUS (180)
DATE OF LAUNCH20.12.2006



BOND FUND
10
013.2171
013.2171
013.2171
SECURED FUND
10
013.6334
013.6334
013.6334
BALANCED FUND
10
013.9487
013.9487
013.9487
GROWTH FUND
10
013.0455
013.0455
013.0455





FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007



BOND FUND
10
012.5310
012.5310
012.5310
SECURED FUND
10
013.5411
013.5411
013.5411
BALANCED FUND
10
012.6617
012.6617
012.6617
GROWTH FUND
10
012.8207
012.8207
012.8207





PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007



BOND FUND
10
013.0746
013.0746
013.0746
SECURED FUND
10
013.5382
013.5382
013.5382
BALANCED FUND
10
014.2059
014.2059
014.2059
GROWTH FUND
10
012.6411
012.6411
012.6411

GRATUITY PLUS
DATE OF LAUNCH22.06.2006



BOND FUND
10
13.8272
13.8272
13.8272
INCOME FUND
10
15.1196
15.1196
15.1196
BALANCED FUND
10
15.9158
15.9158
15.9158
GROWTH FUND
10
15.0550
15.0550
15.0550

HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008



HEALTH PLUS FUND
10
012.0816
012.0816
012.0816





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



BOND FUND
10
012.9541
012.9541
012.9541
SECURED FUND
10
015.4301
015.4301
015.4301
BALANCED FUND
10
015.4851
015.4851
015.4851
GROWTH FUND
10
014.7934
014.7934
014.7934





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



BOND FUND
10
011.9944
011.9944
011.9944
SECURED FUND
10
012.9157
012.9157
012.9157
BALANCED FUND
10
013.2557
013.2557
013.2557
GROWTH FUND
10
014.7897
014.7897
014.7897





CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008



BOND FUND
10
011.1545
011.1545
011.1545
SECURED FUND
10
015.7486
015.7486
015.7486
BALANCED FUND
10
015.6579
015.6579
015.6579
GROWTH FUND
10
016.3190
016.3190
016.3190





HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009



HEALTH PROTECTION PLUS FUND
10
011.4369
011.4369
011.4369





JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009



BOND FUND
10
010.6895
010.6895
010.6895
SECURED FUND
10
010.8687
010.8687
010.8687
BALANCED FUND
10
011.2028
011.2028
011.2028
GROWTH FUND
10
012.3222
012.3222
012.3222





WEALTH PLUS (801)
DATE OF LAUNCH09.02.2010



WEALTH PLUS FUND
10
010.6615
010.6615
010.6615





PENSION PLUS (803)
DATE OF LAUNCH02.09.2010



DEBT FUND
10
010.0000
010.0000
010.0000
MIXED FUND
10
010.0000
010.0000
010.0000





ENDOWMENT PLUS (802)
DATE OF LAUNCH20.09.2010



BOND FUND
10
010.0000
010.0000
010.0000
SECURED FUND
10
010.0000
010.0000
010.0000
BALANCED FUND
10
010.0000
010.0000
010.0000
GROWTH FUND
10
010.0000
010.0000
010.0000

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

Thursday, September 9, 2010

### Note...

NOTE:(For systematic investments in ULIPs)


*Market setbacks at the earlier stages of a policy will not significantly affect the yield to maturity.
*But any reversal in the last few years before maturity can reduce it considerably.

###LIC's Pension Plus(T-803) Premium Allocation Charges...

###LIC's Pension Plus(T-803) Premium Allocation Charges...

For
Single premium policies: 3.3%
For Regular premium policies:


Premium

Allocation Charge

First Year

6.75%

2nd to 5th Year

4.50%

thereafter

2.50%

Allocation charge for Top-up: 1.25%

### LIC’s Pension Plus(T-180)...

### LIC’s Pension Plus(T-180)...
*LIC’s Pension Plus is a unit linked deferred pension plan, which provides you a minimum guarantee on the gross premiums paid. The plan is without any life cover.
*You have a choice of investing your premiums in one of the two types of investment funds available.
* Premiums paid after deduction of 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 08/09/2010...

NAV'S AS ON DATE 08/09/2010
EFFECTIVE FOR
08/09/2010

PLAN NAME
&
FUND OPTIONS
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE
VALUE

BIMA PLUS (140)

DATE OF LAUNCH
02.02.2001

SECURED FUND

10

031.9235

030.3273

031.9235

BALANCED FUND

10

042.6267

040.4954

042.6267

RISK FUND

10

062.2056

059.0953

062.2056

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005

BOND FUND

10

013.7781

013.7781

013.7781

INCOME FUND

10

016.2627

016.2627

016.2627

BALANCED FUND

10

017.4896

017.4896

017.4896

GROWTH FUND

10

024.3995

024.3995

024.3995

JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005

BOND FUND

10

013.7248

013.7248

013.7248

SECURED FUND

10

014.5118

014.5118

014.5118

BALANCED FUND

10

014.8650

014.8650

014.8650

GROWTH FUND

10

022.9747

022.9747

022.9747

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006

BOND FUND

10

014.2397

014.2397

014.2397

SECURED FUND

10

014.5032

014.5032

014.5032

BALANCED FUND

10

014.6079

014.6079

014.6079

GROWTH FUND

10

015.7958

015.7958

015.7958

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

BOND FUND

10

013.2149

013.2149

013.2149

SECURED FUND

10

013.3601

013.3601

013.3601

BALANCED FUND

10

013.6446

013.6446

013.6446

GROWTH FUND

10

012.4447

012.4447

012.4447

FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007

BOND FUND

10

012.5200

012.5200

012.5200

SECURED FUND

10

013.3642

013.3642

013.3642

BALANCED FUND

10

012.4544

012.4544

012.4544

GROWTH FUND

10

012.2857

012.2857

012.2857

PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007

BOND FUND

10

013.0275

013.0275

013.0275

SECURED FUND

10

013.2940

013.2940

013.2940

BALANCED FUND

10

013.9361

013.9361

013.9361

GROWTH FUND

10

012.0876

012.0876

012.0876

GRATUITY PLUS DATE OF LAUNCH
22.06.2006

BOND FUND

10

13.7741 13.7741 13.7741

INCOME FUND

10

14.9431

14.9431

14.9431

BALANCED FUND

10

15.5957

15.5957

15.5957

GROWTH FUND

10

14.7379

14.7379

14.7379

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008

HEALTH PLUS FUND

10

011.8777

011.8777

011.8777

MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008

BOND FUND

10

012.9424

012.9424

012.9424

SECURED FUND

10

015.1773

015.1773

015.1773

BALANCED FUND

10

015.2402

015.2402

015.2402

GROWTH FUND

10

014.2325

014.2325

014.2325

MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008

BOND FUND

10

011.9747

011.9747

011.9747

SECURED FUND

10

012.5995

012.5995

012.5995

BALANCED FUND

10

012.8205

012.8205

012.8205

GROWTH FUND

10

014.3611

014.3611

014.3611

CHILD FORTUNE
PLUS (194)
DATE OF LAUNCH
01.11.2008

BOND FUND

10

011.1323

011.1323

011.1323

SECURED FUND

10

015.6600

015.6600

015.6600

BALANCED FUND

10

015.4220

015.4220

015.4220

GROWTH FUND

10

015.7024

015.7024

015.7024

HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009

HEALTH PROTECTION PLUS FUND

10

011.3028

011.3028

011.3028

JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009

BOND FUND

10

010.7270

010.7270

010.7270

SECURED FUND

10

010.7707

010.7707

010.7707

BALANCED FUND

10

011.1052

011.1052

011.1052

GROWTH FUND

10

011.9887

011.9887

011.9887

WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10

010.4552

010.4552

010.4552

PENSION PLUS (803) DATE OF
LAUNCH
02.09.2010
DEBT FUND 10

010.0000

010.0000

010.0000

MIXED FUND 10

010.0000

010.0000

010.0000

NAV'S AS ON DATE 08/09/2010
EFFECTIVE FOR
08/09/2010

PLAN NAME
&
FUND OPTIONS
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE
VALUE

BIMA PLUS (140)

DATE OF LAUNCH
02.02.2001

SECURED FUND

10

031.9235

030.3273

031.9235

BALANCED FUND

10

042.6267

040.4954

042.6267

RISK FUND

10

062.2056

059.0953

062.2056

FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005

BOND FUND

10

013.7781

013.7781

013.7781

INCOME FUND

10

016.2627

016.2627

016.2627

BALANCED FUND

10

017.4896

017.4896

017.4896

GROWTH FUND

10

024.3995

024.3995

024.3995

JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005

BOND FUND

10

013.7248

013.7248

013.7248

SECURED FUND

10

014.5118

014.5118

014.5118

BALANCED FUND

10

014.8650

014.8650

014.8650

GROWTH FUND

10

022.9747

022.9747

022.9747

MARKET PLUS (181) DATE OF LAUNCH
05.07.2006

BOND FUND

10

014.2397

014.2397

014.2397

SECURED FUND

10

014.5032

014.5032

014.5032

BALANCED FUND

10

014.6079

014.6079

014.6079

GROWTH FUND

10

015.7958

015.7958

015.7958

MONEY PLUS (180) DATE OF LAUNCH
20.12.2006

BOND FUND

10

013.2149

013.2149

013.2149

SECURED FUND

10

013.3601

013.3601

013.3601

BALANCED FUND

10

013.6446

013.6446

013.6446

GROWTH FUND

10

012.4447

012.4447

012.4447

FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007

BOND FUND

10

012.5200

012.5200

012.5200

SECURED FUND

10

013.3642

013.3642

013.3642

BALANCED FUND

10

012.4544

012.4544

012.4544

GROWTH FUND

10

012.2857

012.2857

012.2857

PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007

BOND FUND

10

013.0275

013.0275

013.0275

SECURED FUND

10

013.2940

013.2940

013.2940

BALANCED FUND

10

013.9361

013.9361

013.9361

GROWTH FUND

10

012.0876

012.0876

012.0876

GRATUITY PLUS DATE OF LAUNCH
22.06.2006

BOND FUND

10

13.7741 13.7741 13.7741

INCOME FUND

10

14.9431

14.9431

14.9431

BALANCED FUND

10

15.5957

15.5957

15.5957

GROWTH FUND

10

14.7379

14.7379

14.7379

HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008

HEALTH PLUS FUND

10

011.8777

011.8777

011.8777

MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008

BOND FUND

10

012.9424

012.9424

012.9424

SECURED FUND

10

015.1773

015.1773

015.1773

BALANCED FUND

10

015.2402

015.2402

015.2402

GROWTH FUND

10

014.2325

014.2325

014.2325

MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008

BOND FUND

10

011.9747

011.9747

011.9747

SECURED FUND

10

012.5995

012.5995

012.5995

BALANCED FUND

10

012.8205

012.8205

012.8205

GROWTH FUND

10

014.3611

014.3611

014.3611

CHILD FORTUNE
PLUS (194)
DATE OF LAUNCH
01.11.2008

BOND FUND

10

011.1323

011.1323

011.1323

SECURED FUND

10

015.6600

015.6600

015.6600

BALANCED FUND

10

015.4220

015.4220

015.4220

GROWTH FUND

10

015.7024

015.7024

015.7024

HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009

HEALTH PROTECTION PLUS FUND

10

011.3028

011.3028

011.3028

JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009

BOND FUND

10

010.7270

010.7270

010.7270

SECURED FUND

10

010.7707

010.7707

010.7707

BALANCED FUND

10

011.1052

011.1052

011.1052

GROWTH FUND

10

011.9887

011.9887

011.9887

WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10

010.4552

010.4552

010.4552

PENSION PLUS (803) DATE OF
LAUNCH
02.09.2010
DEBT FUND 10

010.0000

010.0000

010.0000

MIXED FUND 10

010.0000

010.0000

010.0000