Friday, February 26, 2010
# *** yoga....
yoga:
The Bhagavad Gita ('Song of the Lord'), uses the term yoga extensively in a variety of ways. In addition to an entire chapter dedicated to traditional yoga practice, including meditation.
it introduces three prominent types of yoga:
* Karma yoga: The yoga of action,
* Bhakti yoga: The yoga of devotion,
* Gnana yoga: The yoga of knowledge.
The Bhagavad Gita ('Song of the Lord'), uses the term yoga extensively in a variety of ways. In addition to an entire chapter dedicated to traditional yoga practice, including meditation.
it introduces three prominent types of yoga:
* Karma yoga: The yoga of action,
* Bhakti yoga: The yoga of devotion,
* Gnana yoga: The yoga of knowledge.
#*#Goal of yoga....
#*#Goal of yoga....
The goals of yoga are varied and range from improving health to achieving Moksha.
The goals of yoga are varied and range from improving health to achieving Moksha.
###LIC’s Wealth Plus....
###LIC’s Wealth Plus....
LIC’s Wealth Plus is a unit linked plan that safeguards your investment from market fluctuations, so that your investments are protected in financially volatile times.
This plan offers payment of Fund Value at the end of policy term, based on highest Net Asset Value (NAV) over the first 7 years of the policy, or the NAV as applicable at the end of the policy term, whichever is higher.
NAV of the fund will be subject to a minimum of Rs. 10/-. The policy term is 8 years with an extended life cover for 2 years after the completion of policy term. This plan will be available for sale for a limited period.
You can pay the premium either in a single lump sum or for 3 years.
You can choose the level of cover within the limits, which will depend on your age whether the policy is a Single premium or Limited premium contract and on the level of premium you agree to pay.
Premiums paid after allocation charge will purchase units of the Fund. 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 Wealth Plus is a unit linked plan that safeguards your investment from market fluctuations, so that your investments are protected in financially volatile times.
This plan offers payment of Fund Value at the end of policy term, based on highest Net Asset Value (NAV) over the first 7 years of the policy, or the NAV as applicable at the end of the policy term, whichever is higher.
NAV of the fund will be subject to a minimum of Rs. 10/-. The policy term is 8 years with an extended life cover for 2 years after the completion of policy term. This plan will be available for sale for a limited period.
You can pay the premium either in a single lump sum or for 3 years.
You can choose the level of cover within the limits, which will depend on your age whether the policy is a Single premium or Limited premium contract and on the level of premium you agree to pay.
Premiums paid after allocation charge will purchase units of the Fund. 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 25.02.2010............
*** LIC's NAV'S AS ON DATE 25.02.2010............
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
029.0836
027.6295
029.0836
BALANCED FUND
10
035.4636
033.6904
035.4636
RISK FUND
10
049.7428
047.2557
049.7428
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.5255
013.5255
013.5255
INCOME FUND
10
015.6219
015.6219
015.6219
BALANCED FUND
10
016.5110
016.5110
016.5110
GROWTH FUND
10
021.3533
021.3533
021.3533
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.4036
013.4036
013.4036
SECURED FUND
10
013.7197
013.7197
013.7197
BALANCED FUND
10
014.1367
014.1367
014.1367
GROWTH FUND
10
019.5305
019.5305
019.5305
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8931
013.8931
013.8931
SECURED FUND
10
013.5107
013.5107
013.5107
BALANCED FUND
10
013.2602
013.2602
013.2602
GROWTH FUND
10
013.7970
013.7970
013.7970
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6828
012.6828
012.6828
SECURED FUND
10
012.4343
012.4343
012.4343
BALANCED FUND
10
012.4363
012.4363
012.4363
GROWTH FUND
10
010.9622
010.9622
010.9622
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1838
012.1838
012.1838
SECURED FUND
10
012.0954
012.0954
012.0954
BALANCED FUND
10
011.0066
011.0066
011.0066
GROWTH FUND
10
010.7365
010.7365
010.7365
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
011.5061
011.5061
011.5061
BALANCED FUND
10
012.0570
012.0570
012.0570
GROWTH FUND
10
010.5630
010.5630
010.5630
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.2031 13.2031 13.2031
INCOME FUND
10
13.9486
13.9486
13.9486
BALANCED FUND
10
14.1062
14.1062
14.1062
GROWTH FUND
10
13. 3397
13. 3397
13. 3397
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.1134
011.1134
011.1134
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5346
012.5346
012.5346
SECURED FUND
10
014.2036
014.2036
014.2036
BALANCED FUND
10
013.9908
013.9908
013.9908
GROWTH FUND
10
012.8934
012.8934
012.8934
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5907
011.5907
011.5907
SECURED FUND
10
011.7797
011.7797
011.7797
BALANCED FUND
10
011.8735
011.8735
011.8735
GROWTH FUND
10
012.7097
012.7097
012.7097
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.8020
010.8020
010.8020
SECURED FUND
10
014.3694
014.3694
014.3694
BALANCED FUND
10
013.9855
013.9855
013.9855
GROWTH FUND
10
014.1328
014.1328
014.1328
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6509
010.6509
010.6509
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3870
010.3870
010.3870
SECURED FUND
10
010.1377
010.1377
010.1377
BALANCED FUND
10
010.2544
010.2544
010.2544
GROWTH FUND
10
010.6892
010.6892
010.6892
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
029.0836
027.6295
029.0836
BALANCED FUND
10
035.4636
033.6904
035.4636
RISK FUND
10
049.7428
047.2557
049.7428
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.5255
013.5255
013.5255
INCOME FUND
10
015.6219
015.6219
015.6219
BALANCED FUND
10
016.5110
016.5110
016.5110
GROWTH FUND
10
021.3533
021.3533
021.3533
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.4036
013.4036
013.4036
SECURED FUND
10
013.7197
013.7197
013.7197
BALANCED FUND
10
014.1367
014.1367
014.1367
GROWTH FUND
10
019.5305
019.5305
019.5305
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8931
013.8931
013.8931
SECURED FUND
10
013.5107
013.5107
013.5107
BALANCED FUND
10
013.2602
013.2602
013.2602
GROWTH FUND
10
013.7970
013.7970
013.7970
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6828
012.6828
012.6828
SECURED FUND
10
012.4343
012.4343
012.4343
BALANCED FUND
10
012.4363
012.4363
012.4363
GROWTH FUND
10
010.9622
010.9622
010.9622
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1838
012.1838
012.1838
SECURED FUND
10
012.0954
012.0954
012.0954
BALANCED FUND
10
011.0066
011.0066
011.0066
GROWTH FUND
10
010.7365
010.7365
010.7365
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
011.5061
011.5061
011.5061
BALANCED FUND
10
012.0570
012.0570
012.0570
GROWTH FUND
10
010.5630
010.5630
010.5630
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.2031 13.2031 13.2031
INCOME FUND
10
13.9486
13.9486
13.9486
BALANCED FUND
10
14.1062
14.1062
14.1062
GROWTH FUND
10
13. 3397
13. 3397
13. 3397
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.1134
011.1134
011.1134
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5346
012.5346
012.5346
SECURED FUND
10
014.2036
014.2036
014.2036
BALANCED FUND
10
013.9908
013.9908
013.9908
GROWTH FUND
10
012.8934
012.8934
012.8934
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5907
011.5907
011.5907
SECURED FUND
10
011.7797
011.7797
011.7797
BALANCED FUND
10
011.8735
011.8735
011.8735
GROWTH FUND
10
012.7097
012.7097
012.7097
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.8020
010.8020
010.8020
SECURED FUND
10
014.3694
014.3694
014.3694
BALANCED FUND
10
013.9855
013.9855
013.9855
GROWTH FUND
10
014.1328
014.1328
014.1328
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6509
010.6509
010.6509
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3870
010.3870
010.3870
SECURED FUND
10
010.1377
010.1377
010.1377
BALANCED FUND
10
010.2544
010.2544
010.2544
GROWTH FUND
10
010.6892
010.6892
010.6892
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
Thursday, February 18, 2010
### LIC's HEALTH PROTECTION PLUS (902)NAV'S AS ON DATE 17.02.2010....
### LIC's HEALTH PROTECTION PLUS (902)NAV'S AS ON DATE 17.02.2010....
HEALTH PROTECTION PLUS FUND
10
010.6546
010.6546
010.6546
HEALTH PROTECTION PLUS FUND
10
010.6546
010.6546
010.6546
### LIC's NAV'S AS ON DATE 17.02.2010....
### LIC's NAV'S AS ON DATE 17.02.2010....
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
029.0994
027.6445
029.0994
BALANCED FUND
10
035.3489
033.5814
035.3489
RISK FUND
10
049.6453
047.1630
049.6453
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.5006
013.5006
013.5006
INCOME FUND
10
015.6134
015.6134
015.6134
BALANCED FUND
10
016.5180
016.5180
016.5180
GROWTH FUND
10
021.5354
021.5354
021.5354
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3808
013.3808
013.3808
SECURED FUND
10
013.7244
013.7244
013.7244
BALANCED FUND
10
014.2036
014.2036
014.2036
GROWTH FUND
10
019.6656
019.6656
019.6656
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8609
013.8609
013.8609
SECURED FUND
10
013.5492
013.5492
013.5492
BALANCED FUND
10
013.3371
013.3371
013.3371
GROWTH FUND
10
013.9541
013.9541
013.9541
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6659
012.6659
012.6659
SECURED FUND
10
012.4566
012.4566
012.4566
BALANCED FUND
10
012.5324
012.5324
012.5324
GROWTH FUND
10
011.0938
011.0938
011.0938
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1513
012.1513
012.1513
SECURED FUND
10
012.1842
012.1842
012.1842
BALANCED FUND
10
011.1612
011.1612
011.1612
GROWTH FUND
10
010.8559
010.8559
010.8559
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.4986
012.4986
012.4986
SECURED FUND
10
011.6010
011.6010
011.6010
BALANCED FUND
10
012.2266
012.2266
012.2266
GROWTH FUND
10
010.6886
010.6886
010.6886
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1754 13.1754 13.1754
INCOME FUND
10
13.9740
13.9740
13.9740
BALANCED FUND
10
14.1837
14.1837
14.1837
GROWTH FUND
10
13.4244
13.4244
13.4244
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.1550
011.1550
011.1550
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5140
012.5140
012.5140
SECURED FUND
10
014.3175
014.3175
014.3175
BALANCED FUND
10
014.1436
014.1436
014.1436
GROWTH FUND
10
012.9617
012.9617
012.9617
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5678
011.5678
011.5678
SECURED FUND
10
011.9402
011.9402
011.9402
BALANCED FUND
10
012.0223
012.0223
012.0223
GROWTH FUND
10
012.8997
012.8997
012.8997
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7801
010.7801
010.7801
SECURED FUND
10
014.5043
014.5043
014.5043
BALANCED FUND
10
014.0915
014.0915
014.0915
GROWTH FUND
10
014.2061
014.2061
014.2061
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6546
010.6546
010.6546
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3470
010.3470
010.3470
SECURED FUND
10
010.3422
010.3422
010.3422
BALANCED FUND
10
010.3224
010.3224
010.3224
GROWTH FUND
10
010.7976
010.7976
010.7976
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
029.0994
027.6445
029.0994
BALANCED FUND
10
035.3489
033.5814
035.3489
RISK FUND
10
049.6453
047.1630
049.6453
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.5006
013.5006
013.5006
INCOME FUND
10
015.6134
015.6134
015.6134
BALANCED FUND
10
016.5180
016.5180
016.5180
GROWTH FUND
10
021.5354
021.5354
021.5354
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3808
013.3808
013.3808
SECURED FUND
10
013.7244
013.7244
013.7244
BALANCED FUND
10
014.2036
014.2036
014.2036
GROWTH FUND
10
019.6656
019.6656
019.6656
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8609
013.8609
013.8609
SECURED FUND
10
013.5492
013.5492
013.5492
BALANCED FUND
10
013.3371
013.3371
013.3371
GROWTH FUND
10
013.9541
013.9541
013.9541
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6659
012.6659
012.6659
SECURED FUND
10
012.4566
012.4566
012.4566
BALANCED FUND
10
012.5324
012.5324
012.5324
GROWTH FUND
10
011.0938
011.0938
011.0938
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1513
012.1513
012.1513
SECURED FUND
10
012.1842
012.1842
012.1842
BALANCED FUND
10
011.1612
011.1612
011.1612
GROWTH FUND
10
010.8559
010.8559
010.8559
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.4986
012.4986
012.4986
SECURED FUND
10
011.6010
011.6010
011.6010
BALANCED FUND
10
012.2266
012.2266
012.2266
GROWTH FUND
10
010.6886
010.6886
010.6886
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1754 13.1754 13.1754
INCOME FUND
10
13.9740
13.9740
13.9740
BALANCED FUND
10
14.1837
14.1837
14.1837
GROWTH FUND
10
13.4244
13.4244
13.4244
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.1550
011.1550
011.1550
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5140
012.5140
012.5140
SECURED FUND
10
014.3175
014.3175
014.3175
BALANCED FUND
10
014.1436
014.1436
014.1436
GROWTH FUND
10
012.9617
012.9617
012.9617
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5678
011.5678
011.5678
SECURED FUND
10
011.9402
011.9402
011.9402
BALANCED FUND
10
012.0223
012.0223
012.0223
GROWTH FUND
10
012.8997
012.8997
012.8997
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7801
010.7801
010.7801
SECURED FUND
10
014.5043
014.5043
014.5043
BALANCED FUND
10
014.0915
014.0915
014.0915
GROWTH FUND
10
014.2061
014.2061
014.2061
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6546
010.6546
010.6546
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3470
010.3470
010.3470
SECURED FUND
10
010.3422
010.3422
010.3422
BALANCED FUND
10
010.3224
010.3224
010.3224
GROWTH FUND
10
010.7976
010.7976
010.7976
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
Tuesday, February 16, 2010
### LIC's Health Protection Plus (HCB/MSB)....
### LIC's Health Protection Plus (HCB/MSB)....
Specimen charges for Rs. 100/- per day for HCB and Rs. 1000/- SA for MSB for standard lives are given as under:
Age --------- HCB ---------- MSB
5 ---- 24.43 - 20.43 ---- 0 - 0
15 ----- 20.71 - 20.71---- 0 - 0
25 ----- 31.39 - 24.34 ---- 1.02 - 1.38
35 ---- 33.59 - 29.96 ---- 1.58 - 1.75
45 ----- 49.29 - 53.20 ---- 3.54 - 2.64
55 ------ 76.08 - 72.53 ---- 7.28 - 5.16
*Health Insurance Charge:
Policy Administration Charges Rs.75 per month during the first year and Rs. 25 per month during the subsequent years.
Fund Management Charges Levied @ 1.25% per annum of the unit fund, at the time of computation of NAV which will be done on daily basis.
Bid/ Offer Spread- Nil
Service Tax Charge A service tax charge shall be levied on the following charges:
i)Policy Administration charge and Health Insurance charges - by canceling appropriate number of units out of the Policyholder’s Fund Value on a monthly basis as and when the corresponding Policy Administration and Health Insurance charges are deducted.
ii)Premium allocation charge - at the time of allocation of premium.
iii)Fund Management charge– at the time of computation of NAV on daily basis.
The level of this charge will be as per the rate of service tax as applicable from time to time. Currently, the rate of service tax is 10% with an educational cess at the rate of 3% thereon and hence effective rate is 10.30%.
** Right to revise charges-The Corporation reserves the right to revise all or any of the above charges except the Premium Allocation charge. The modification in charges will be done with prospective effect with the prior approval of IRDA.
Although the charges are reviewable, they will be subject to the following maximum limit:
Policy Administration Charge-Rs. 150/- per month during the first policy year and Rs.50/- per month thereafter, throughout the term of the policy.
Fund Management Charge-The Maximum for Fund will be 2.5% p.a. of Unit Fund
Hospital Cash Cover charges and Major Surgical Benefit charges shall not exceed by more than 200% of the current rate.
Disclaimer : For more details on risk factors , terms and conditions please read sales brochure carefully before concluding a sale .
Specimen charges for Rs. 100/- per day for HCB and Rs. 1000/- SA for MSB for standard lives are given as under:
Age --------- HCB ---------- MSB
5 ---- 24.43 - 20.43 ---- 0 - 0
15 ----- 20.71 - 20.71---- 0 - 0
25 ----- 31.39 - 24.34 ---- 1.02 - 1.38
35 ---- 33.59 - 29.96 ---- 1.58 - 1.75
45 ----- 49.29 - 53.20 ---- 3.54 - 2.64
55 ------ 76.08 - 72.53 ---- 7.28 - 5.16
*Health Insurance Charge:
Policy Administration Charges Rs.75 per month during the first year and Rs. 25 per month during the subsequent years.
Fund Management Charges Levied @ 1.25% per annum of the unit fund, at the time of computation of NAV which will be done on daily basis.
Bid/ Offer Spread- Nil
Service Tax Charge A service tax charge shall be levied on the following charges:
i)Policy Administration charge and Health Insurance charges - by canceling appropriate number of units out of the Policyholder’s Fund Value on a monthly basis as and when the corresponding Policy Administration and Health Insurance charges are deducted.
ii)Premium allocation charge - at the time of allocation of premium.
iii)Fund Management charge– at the time of computation of NAV on daily basis.
The level of this charge will be as per the rate of service tax as applicable from time to time. Currently, the rate of service tax is 10% with an educational cess at the rate of 3% thereon and hence effective rate is 10.30%.
** Right to revise charges-The Corporation reserves the right to revise all or any of the above charges except the Premium Allocation charge. The modification in charges will be done with prospective effect with the prior approval of IRDA.
Although the charges are reviewable, they will be subject to the following maximum limit:
Policy Administration Charge-Rs. 150/- per month during the first policy year and Rs.50/- per month thereafter, throughout the term of the policy.
Fund Management Charge-The Maximum for Fund will be 2.5% p.a. of Unit Fund
Hospital Cash Cover charges and Major Surgical Benefit charges shall not exceed by more than 200% of the current rate.
Disclaimer : For more details on risk factors , terms and conditions please read sales brochure carefully before concluding a sale .
### LIC's Health Protection Plus(T-902)..........
### LIC's Health Protection Plus(T-902)..........
Health Insurance Charge:
Policy Administration Charges Rs.75 per month during the first year and Rs. 25 per month during the subsequent years.
Fund Management Charges Levied @ 1.25% per annum of the unit fund, at the time of computation of NAV which will be done on daily basis.
Bid/ Offer Spread - Nil
Health Insurance Charge:
Policy Administration Charges Rs.75 per month during the first year and Rs. 25 per month during the subsequent years.
Fund Management Charges Levied @ 1.25% per annum of the unit fund, at the time of computation of NAV which will be done on daily basis.
Bid/ Offer Spread - Nil
***LIC's HEALTH PROTECTION PLUS (902) NAV's AS ON DATE:15.02.2010....
***LIC's HEALTH PROTECTION PLUS (902) NAV's AS ON DATE:15.02.2010....
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
***LIC's PROFIT PLUS (188) NAV's AS ON DATE:15.02.2010....
***LIC's PROFIT PLUS (188) NAV's AS ON DATE:15.02.2010....
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
*** LIC's NAV'S AS ON DATE 15.02.2010....
*** LIC's NAV'S AS ON DATE 15.02.2010....
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.9645
027.5163
028.9645
BALANCED FUND
10
035.2522
033.4896
035.2522
RISK FUND
10
049.3702
046.9017
049.3702
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.4857
013.4857
013.4857
INCOME FUND
10
015.5488
015.5488
015.5488
BALANCED FUND
10
016.3911
016.3911
016.3911
GROWTH FUND
10
021.2513
021.2513
021.2513
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3861
013.3861
013.3861
SECURED FUND
10
013.6717
013.6717
013.6717
BALANCED FUND
10
014.1004
014.1004
014.1004
GROWTH FUND
10
019.3693
019.3693
019.3693
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8640
013.8640
013.8640
SECURED FUND
10
013.4785
013.4785
013.4785
BALANCED FUND
10
013.2076
013.2076
013.2076
GROWTH FUND
10
013.7331
013.7331
013.7331
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6736
012.6736
012.6736
SECURED FUND
10
012.4071
012.4071
012.4071
BALANCED FUND
10
012.4387
012.4387
012.4387
GROWTH FUND
10
010.9214
010.9214
010.9214
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1624
012.1624
012.1624
SECURED FUND
10
012.0959
012.0959
012.0959
BALANCED FUND
10
011.0581
011.0581
011.0581
GROWTH FUND
10
010.6802
010.6802
010.6802
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1741 13.1741 13.1741
INCOME FUND
10
13.9064
13.9064
13.9064
BALANCED FUND
10
14.0883
14.0883
14.0883
GROWTH FUND
10
13.3174
13.3174
13.3174
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.0927
011.0927
011.0927
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
014.1990
014.1990
014.1990
BALANCED FUND
10
013.9885
013.9885
013.9885
GROWTH FUND
10
012.8420
012.8420
012.8420
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5692
011.5692
011.5692
SECURED FUND
10
011.7454
011.7454
011.7454
BALANCED FUND
10
011.8591
011.8591
011.8591
GROWTH FUND
10
012.6792
012.6792
012.6792
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7870
010.7870
010.7870
SECURED FUND
10
014.4201
014.4201
014.4201
BALANCED FUND
10
013.9579
013.9579
013.9579
GROWTH FUND
10
014.0251
014.0251
014.0251
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3579
010.3579
010.3579
SECURED FUND
10
010.2101
010.2101
010.2101
BALANCED FUND
10
010.2547
010.2547
010.2547
GROWTH FUND
10
010.6107
010.6107
010.6107
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.9645
027.5163
028.9645
BALANCED FUND
10
035.2522
033.4896
035.2522
RISK FUND
10
049.3702
046.9017
049.3702
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.4857
013.4857
013.4857
INCOME FUND
10
015.5488
015.5488
015.5488
BALANCED FUND
10
016.3911
016.3911
016.3911
GROWTH FUND
10
021.2513
021.2513
021.2513
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3861
013.3861
013.3861
SECURED FUND
10
013.6717
013.6717
013.6717
BALANCED FUND
10
014.1004
014.1004
014.1004
GROWTH FUND
10
019.3693
019.3693
019.3693
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8640
013.8640
013.8640
SECURED FUND
10
013.4785
013.4785
013.4785
BALANCED FUND
10
013.2076
013.2076
013.2076
GROWTH FUND
10
013.7331
013.7331
013.7331
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6736
012.6736
012.6736
SECURED FUND
10
012.4071
012.4071
012.4071
BALANCED FUND
10
012.4387
012.4387
012.4387
GROWTH FUND
10
010.9214
010.9214
010.9214
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1624
012.1624
012.1624
SECURED FUND
10
012.0959
012.0959
012.0959
BALANCED FUND
10
011.0581
011.0581
011.0581
GROWTH FUND
10
010.6802
010.6802
010.6802
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1741 13.1741 13.1741
INCOME FUND
10
13.9064
13.9064
13.9064
BALANCED FUND
10
14.0883
14.0883
14.0883
GROWTH FUND
10
13.3174
13.3174
13.3174
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.0927
011.0927
011.0927
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
014.1990
014.1990
014.1990
BALANCED FUND
10
013.9885
013.9885
013.9885
GROWTH FUND
10
012.8420
012.8420
012.8420
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5692
011.5692
011.5692
SECURED FUND
10
011.7454
011.7454
011.7454
BALANCED FUND
10
011.8591
011.8591
011.8591
GROWTH FUND
10
012.6792
012.6792
012.6792
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7870
010.7870
010.7870
SECURED FUND
10
014.4201
014.4201
014.4201
BALANCED FUND
10
013.9579
013.9579
013.9579
GROWTH FUND
10
014.0251
014.0251
014.0251
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3579
010.3579
010.3579
SECURED FUND
10
010.2101
010.2101
010.2101
BALANCED FUND
10
010.2547
010.2547
010.2547
GROWTH FUND
10
010.6107
010.6107
010.6107
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
*** LIC's NAV's AS ON DATE 15.02.2010.....
*** LIC's NAV's AS ON DATE 15.02.2010.....
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.9645
027.5163
028.9645
BALANCED FUND
10
035.2522
033.4896
035.2522
RISK FUND
10
049.3702
046.9017
049.3702
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.4857
013.4857
013.4857
INCOME FUND
10
015.5488
015.5488
015.5488
BALANCED FUND
10
016.3911
016.3911
016.3911
GROWTH FUND
10
021.2513
021.2513
021.2513
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3861
013.3861
013.3861
SECURED FUND
10
013.6717
013.6717
013.6717
BALANCED FUND
10
014.1004
014.1004
014.1004
GROWTH FUND
10
019.3693
019.3693
019.3693
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8640
013.8640
013.8640
SECURED FUND
10
013.4785
013.4785
013.4785
BALANCED FUND
10
013.2076
013.2076
013.2076
GROWTH FUND
10
013.7331
013.7331
013.7331
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6736
012.6736
012.6736
SECURED FUND
10
012.4071
012.4071
012.4071
BALANCED FUND
10
012.4387
012.4387
012.4387
GROWTH FUND
10
010.9214
010.9214
010.9214
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1624
012.1624
012.1624
SECURED FUND
10
012.0959
012.0959
012.0959
BALANCED FUND
10
011.0581
011.0581
011.0581
GROWTH FUND
10
010.6802
010.6802
010.6802
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1741 13.1741 13.1741
INCOME FUND
10
13.9064
13.9064
13.9064
BALANCED FUND
10
14.0883
14.0883
14.0883
GROWTH FUND
10
13.3174
13.3174
13.3174
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.0927
011.0927
011.0927
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
014.1990
014.1990
014.1990
BALANCED FUND
10
013.9885
013.9885
013.9885
GROWTH FUND
10
012.8420
012.8420
012.8420
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5692
011.5692
011.5692
SECURED FUND
10
011.7454
011.7454
011.7454
BALANCED FUND
10
011.8591
011.8591
011.8591
GROWTH FUND
10
012.6792
012.6792
012.6792
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7870
010.7870
010.7870
SECURED FUND
10
014.4201
014.4201
014.4201
BALANCED FUND
10
013.9579
013.9579
013.9579
GROWTH FUND
10
014.0251
014.0251
014.0251
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3579
010.3579
010.3579
SECURED FUND
10
010.2101
010.2101
010.2101
BALANCED FUND
10
010.2547
010.2547
010.2547
GROWTH FUND
10
010.6107
010.6107
010.6107
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.9645
027.5163
028.9645
BALANCED FUND
10
035.2522
033.4896
035.2522
RISK FUND
10
049.3702
046.9017
049.3702
FUTURE PLUS (172) DATE OF LAUNCH
04.03.2005
BOND FUND
10
013.4857
013.4857
013.4857
INCOME FUND
10
015.5488
015.5488
015.5488
BALANCED FUND
10
016.3911
016.3911
016.3911
GROWTH FUND
10
021.2513
021.2513
021.2513
JEEVAN PLUS (173) DATE OF LAUNCH
18.10.2005
BOND FUND
10
013.3861
013.3861
013.3861
SECURED FUND
10
013.6717
013.6717
013.6717
BALANCED FUND
10
014.1004
014.1004
014.1004
GROWTH FUND
10
019.3693
019.3693
019.3693
MARKET PLUS (181) DATE OF LAUNCH
05.07.2006
BOND FUND
10
013.8640
013.8640
013.8640
SECURED FUND
10
013.4785
013.4785
013.4785
BALANCED FUND
10
013.2076
013.2076
013.2076
GROWTH FUND
10
013.7331
013.7331
013.7331
MONEY PLUS (180) DATE OF LAUNCH
20.12.2006
BOND FUND
10
012.6736
012.6736
012.6736
SECURED FUND
10
012.4071
012.4071
012.4071
BALANCED FUND
10
012.4387
012.4387
012.4387
GROWTH FUND
10
010.9214
010.9214
010.9214
FORTUNE PLUS (187) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.1624
012.1624
012.1624
SECURED FUND
10
012.0959
012.0959
012.0959
BALANCED FUND
10
011.0581
011.0581
011.0581
GROWTH FUND
10
010.6802
010.6802
010.6802
PROFIT PLUS (188) DATE OF LAUNCH
23.08.2007
BOND FUND
10
012.5026
012.5026
012.5026
SECURED FUND
10
011.4430
011.4430
011.4430
BALANCED FUND
10
012.0504
012.0504
012.0504
GROWTH FUND
10
010.5157
010.5157
010.5157
GRATUITY PLUS DATE OF LAUNCH
16.06.2009
BOND FUND
10
13.1741 13.1741 13.1741
INCOME FUND
10
13.9064
13.9064
13.9064
BALANCED FUND
10
14.0883
14.0883
14.0883
GROWTH FUND
10
13.3174
13.3174
13.3174
HEALTH PLUS (901) DATE OF LAUNCH
04.02.2008
HEALTH PLUS FUND
10
011.0927
011.0927
011.0927
MONEY PLUS - I (193) DATE OF LAUNCH
22.05.2008
BOND FUND
10
012.5142
012.5142
012.5142
SECURED FUND
10
014.1990
014.1990
014.1990
BALANCED FUND
10
013.9885
013.9885
013.9885
GROWTH FUND
10
012.8420
012.8420
012.8420
MARKET PLUS-I (191) DATE OF LAUNCH
17.06.2008
BOND FUND
10
011.5692
011.5692
011.5692
SECURED FUND
10
011.7454
011.7454
011.7454
BALANCED FUND
10
011.8591
011.8591
011.8591
GROWTH FUND
10
012.6792
012.6792
012.6792
CHILD FORTUNE
PLUS (194) DATE OF LAUNCH
01.11.2008
BOND FUND
10
010.7870
010.7870
010.7870
SECURED FUND
10
014.4201
014.4201
014.4201
BALANCED FUND
10
013.9579
013.9579
013.9579
GROWTH FUND
10
014.0251
014.0251
014.0251
HEALTH PROTECTION PLUS (902) DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.5826
010.5826
010.5826
JEEVAN SAATHI PLUS (197) DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3579
010.3579
010.3579
SECURED FUND
10
010.2101
010.2101
010.2101
BALANCED FUND
10
010.2547
010.2547
010.2547
GROWTH FUND
10
010.6107
010.6107
010.6107
WEALTH PLUS (801) DATE OF
LAUNCH
09.02.2010
WEALTH PLUS FUND 10 010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
Saturday, February 13, 2010
### LIC's WEALTH PLUS PLAN...........
### LIC's WEALTH PLUS PLAN...........
Date Plan NAV
09.02.2010 801 10.0000
10.02.2010 801 10.0000
Date Plan NAV
09.02.2010 801 10.0000
10.02.2010 801 10.0000
### LIC'S Wealth Plus (T-801)................
###LIC'S Wealth Plus (T-801)................
Eligibility Conditions and Other Restrictions:
(a) Minimum Age at entry - 10 (age last birthday)
(b) Maximum Age at entry - 65 years (age nearer birthday)
(c) Policy Term - 8 years
(d) Extended Life Cover - 2 years after the completion of policy term
(e) Minimum Premium:3 years Premium Paying policies - Rs. [20,000] p.a.
(Other than monthly (ECS) mode)Monthly (ECS) mode - Rs. [2,000] p.m.
Single premium policies - Rs. [40,000].
(f) Sum Assured under the Basic Plan - Minimum SumAssured:3 years Premium Paying
Term: 5 times the annualized premium
Single Premium: 1.25 times the single premium.
Maximum Sum assured: 3 years
Premium Paying Term: 10 times the annualized premium if age at entry is upto 50 years5 times the annualized premium if age at entry is 51 years and above Single
Premium:5 times the Single premium if age at entry is upto 40 years.2.5 times the Single premium if age at entry is 41 to 50 years.1.25 times the Single premium if age at entry is 51 years and above.
Where the minimum Sum Assured is not in the multiples of Rs. 5,000, it will be rounded off to the next multiple of Rs. 5,000. Annualized Premiums shall be payable in multiple of Rs. 1,000 for other than ECS monthly. For monthly (ECS), the premium shall in multiples of Rs. 500/-.
Eligibility Conditions and Other Restrictions:
(a) Minimum Age at entry - 10 (age last birthday)
(b) Maximum Age at entry - 65 years (age nearer birthday)
(c) Policy Term - 8 years
(d) Extended Life Cover - 2 years after the completion of policy term
(e) Minimum Premium:3 years Premium Paying policies - Rs. [20,000] p.a.
(Other than monthly (ECS) mode)Monthly (ECS) mode - Rs. [2,000] p.m.
Single premium policies - Rs. [40,000].
(f) Sum Assured under the Basic Plan - Minimum SumAssured:3 years Premium Paying
Term: 5 times the annualized premium
Single Premium: 1.25 times the single premium.
Maximum Sum assured: 3 years
Premium Paying Term: 10 times the annualized premium if age at entry is upto 50 years5 times the annualized premium if age at entry is 51 years and above Single
Premium:5 times the Single premium if age at entry is upto 40 years.2.5 times the Single premium if age at entry is 41 to 50 years.1.25 times the Single premium if age at entry is 51 years and above.
Where the minimum Sum Assured is not in the multiples of Rs. 5,000, it will be rounded off to the next multiple of Rs. 5,000. Annualized Premiums shall be payable in multiple of Rs. 1,000 for other than ECS monthly. For monthly (ECS), the premium shall in multiples of Rs. 500/-.
***LIC's PROFIT PLUS (188) NAV'S AS ON DATE:11.02.2010....
***LIC's PROFIT PLUS (188) NAV'S AS ON DATE:11.02.2010....
BOND FUND
10
012.5084
012.5084
012.5084
SECURED FUND
10
011.5444
011.5444
011.5444
BALANCED FUND
10
012.1386
012.1386
012.1386
GROWTH FUND
10
010.5769
010.5769
010.5769
BOND FUND
10
012.5084
012.5084
012.5084
SECURED FUND
10
011.5444
011.5444
011.5444
BALANCED FUND
10
012.1386
012.1386
012.1386
GROWTH FUND
10
010.5769
010.5769
010.5769
***LIC's NAV's AS ON DATE:11.02.2010.......................................
***LIC's NAV's AS ON DATE:11.02.2010....
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
028.9734
027.5247
028.9734
BALANCED FUND
10
035.2221
033.4610
035.2221
RISK FUND
10
049.1960
046.7362
049.1960
FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005
BOND FUND
10
013.4865
013.4865
013.4865
INCOME FUND
10
015.5618
015.5618
015.5618
BALANCED FUND
10
016.4216
016.4216
016.4216
GROWTH FUND
10
021.3476
021.3476
021.3476
JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005
BOND FUND
10
013.3941
013.3941
013.3941
SECURED FUND
10
013.6973
013.6973
013.6973
BALANCED FUND
10
014.1155
014.1155
014.1155
GROWTH FUND
10
019.4553
019.4553
019.4553
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006
BOND FUND
10
013.8859
013.8859
013.8859
SECURED FUND
10
013.5052
013.5052
013.5052
BALANCED FUND
10
013.2368
013.2368
013.2368
GROWTH FUND
10
013.8022
013.8022
013.8022
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.6903
012.6903
012.6903
SECURED FUND
10
012.4272
012.4272
012.4272
BALANCED FUND
10
012.4769
012.4769
012.4769
GROWTH FUND
10
010.9843
010.9843
010.9843
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.1791
012.1791
012.1791
SECURED FUND
10
012.1580
012.1580
012.1580
BALANCED FUND
10
011.1536
011.1536
011.1536
GROWTH FUND
10
010.7380
010.7380
010.7380
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5084
012.5084
012.5084
SECURED FUND
10
011.5444
011.5444
011.5444
BALANCED FUND
10
012.1386
012.1386
012.1386
GROWTH FUND
10
010.5769
010.5769
010.5769
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.1955
13.1955
13.1955
INCOME FUND
10
13.8934
13.8934
13.8934
BALANCED FUND
10
14.0509
14.0509
14.0509
GROWTH FUND
10
13.2735
13.2735
13.2735
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1251
011.1251
011.1251
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5359
012.5359
012.5359
SECURED FUND
10
014.2972
014.2972
014.2972
BALANCED FUND
10
014.0482
014.0482
014.0482
GROWTH FUND
10
012.8912
012.8912
012.8912
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.5767
011.5767
011.5767
SECURED FUND
10
011.7796
011.7796
011.7796
BALANCED FUND
10
011.9090
011.9090
011.9090
GROWTH FUND
10
012.7337
012.7337
012.7337
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8018
010.8018
010.8018
SECURED FUND
10
014.4520
014.4520
014.4520
BALANCED FUND
10
013.9958
013.9958
013.9958
GROWTH FUND
10
014.0846
014.0846
014.0846
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6116
010.6116
010.6116
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3831
010.3831
010.3831
SECURED FUND
10
010.2390
010.2390
010.2390
BALANCED FUND
10
010.2855
010.2855
010.2855
GROWTH FUND
10
010.6855
010.6855
010.6855
WEALTH PLUS (801)
DATE OF LAUNCH09.02.2010
WEALTH PLUS FUND
10
010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
028.9734
027.5247
028.9734
BALANCED FUND
10
035.2221
033.4610
035.2221
RISK FUND
10
049.1960
046.7362
049.1960
FUTURE PLUS (172)
DATE OF LAUNCH04.03.2005
BOND FUND
10
013.4865
013.4865
013.4865
INCOME FUND
10
015.5618
015.5618
015.5618
BALANCED FUND
10
016.4216
016.4216
016.4216
GROWTH FUND
10
021.3476
021.3476
021.3476
JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005
BOND FUND
10
013.3941
013.3941
013.3941
SECURED FUND
10
013.6973
013.6973
013.6973
BALANCED FUND
10
014.1155
014.1155
014.1155
GROWTH FUND
10
019.4553
019.4553
019.4553
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006
BOND FUND
10
013.8859
013.8859
013.8859
SECURED FUND
10
013.5052
013.5052
013.5052
BALANCED FUND
10
013.2368
013.2368
013.2368
GROWTH FUND
10
013.8022
013.8022
013.8022
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.6903
012.6903
012.6903
SECURED FUND
10
012.4272
012.4272
012.4272
BALANCED FUND
10
012.4769
012.4769
012.4769
GROWTH FUND
10
010.9843
010.9843
010.9843
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.1791
012.1791
012.1791
SECURED FUND
10
012.1580
012.1580
012.1580
BALANCED FUND
10
011.1536
011.1536
011.1536
GROWTH FUND
10
010.7380
010.7380
010.7380
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5084
012.5084
012.5084
SECURED FUND
10
011.5444
011.5444
011.5444
BALANCED FUND
10
012.1386
012.1386
012.1386
GROWTH FUND
10
010.5769
010.5769
010.5769
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.1955
13.1955
13.1955
INCOME FUND
10
13.8934
13.8934
13.8934
BALANCED FUND
10
14.0509
14.0509
14.0509
GROWTH FUND
10
13.2735
13.2735
13.2735
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1251
011.1251
011.1251
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5359
012.5359
012.5359
SECURED FUND
10
014.2972
014.2972
014.2972
BALANCED FUND
10
014.0482
014.0482
014.0482
GROWTH FUND
10
012.8912
012.8912
012.8912
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.5767
011.5767
011.5767
SECURED FUND
10
011.7796
011.7796
011.7796
BALANCED FUND
10
011.9090
011.9090
011.9090
GROWTH FUND
10
012.7337
012.7337
012.7337
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8018
010.8018
010.8018
SECURED FUND
10
014.4520
014.4520
014.4520
BALANCED FUND
10
013.9958
013.9958
013.9958
GROWTH FUND
10
014.0846
014.0846
014.0846
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6116
010.6116
010.6116
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3831
010.3831
010.3831
SECURED FUND
10
010.2390
010.2390
010.2390
BALANCED FUND
10
010.2855
010.2855
010.2855
GROWTH FUND
10
010.6855
010.6855
010.6855
WEALTH PLUS (801)
DATE OF LAUNCH09.02.2010
WEALTH PLUS FUND
10
010.0000
010.0000
010.0000
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
*** LIC's WEALTH PLUS (801) NAV EFFECTIVE FOR 11.02.2010................
*** LIC's WEALTH PLUS (801) NAV EFFECTIVE FOR 11.02.2010................
WEALTH PLUS FUND
10
010.0000
010.0000
010.0000
WEALTH PLUS FUND
10
010.0000
010.0000
010.0000
### Guaranteed NAV of LIC's Wealth Plus (T-801)..............
### Guaranteed NAV of LIC's Wealth Plus (T-801)..............
- In this product there is a guarantee of the highest NAV recorded on a daily basis, in the first 7 years of the policy, subject to a minimum of Rs. 10. This means the payment at the end of the policy term will be based on highest Net Asset Value (NAV) recorded over the first 7 years of the policy, or the NAV as applicable on the end of the policy term, whichever is higher.
- The guarantee will be applicable only for payment made at the end of the policy term irrespective of any partial withdrawals made during the policy term.
- The period of 7 years starts from the date of commencement of policy.
### Premiums of Wealth Plus Plan (T_801) ............
### Premiums of Wealth Plus Plan (T_801) ............
- You may pay premiums regularly at yearly, half-yearly, quarterly or monthly (through ECS mode only) intervals over the 3 years premium paying term.
- Alternatively, a Single premium can be paid.
***LIC's Wealth Plus..........
***LIC's Wealth Plus..........
- You can pay the premium either in a single lump sum or for 3 years.
- You can choose the level of cover within the limits, which will depend on your age whether the policy is a Single premium or Limited premium contract and on the level of premium you agree to pay.
- Premiums paid after allocation charge will purchase units of the Fund.
- 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 Wealth Plus(T-801) ..............................
***LIC's Wealth Plus(T-801) ..............................
- LIC’s Wealth Plus is a unit linked plan that safeguards your investment from market fluctuations, so that your investments are protected in financially volatile times.
- This plan offers payment of Fund Value at the end of policy term, based on highest Net Asset Value (NAV) over the first 7 years of the policy, or the NAV as applicable at the end of the policy term, whichever is higher.
- NAV of the fund will be subject to a minimum of Rs. 10/-. The policy term is 8 years with an extended life cover for 2 years after the completion of policy term.
- This plan will be available for sale for a limited period.
Tuesday, February 9, 2010
***LIC's BIMA PLUS (140) NAV's AS ON DATE 08.02.2010 ..........
***LIC's BIMA PLUS (140) NAV's AS ON DATE 08.02.2010 ..........
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
Monday, February 8, 2010
***LIC's FUTURE PLUS (172) NAV's AS ON DATE 08.02.2010 ..........
***LIC's FUTURE PLUS (172) NAV's AS ON DATE 08.02.2010 ..........
BOND FUND
10
013.4797
013.4797
013.4797
INCOME FUND
10
015.5709
015.5709
015.5709
BALANCED FUND
10
016.3974
016.3974
016.3974
GROWTH FUND
10
021.2294
021.2294
021.2294
BOND FUND
10
013.4797
013.4797
013.4797
INCOME FUND
10
015.5709
015.5709
015.5709
BALANCED FUND
10
016.3974
016.3974
016.3974
GROWTH FUND
10
021.2294
021.2294
021.2294
***LIC's MARKET PLUS (181) NAV's AS ON DATE 08.02.2010 ..........
***LIC's MARKET PLUS (181) NAV's AS ON DATE 08.02.2010 ..........
BOND FUND
10
013.9538
013.9538
013.9538
SECURED FUND
10
013.4800
013.4800
013.4800
BALANCED FUND
10
013.2157
013.2157
013.2157
GROWTH FUND
10
013.7319
013.7319
013.7319
BOND FUND
10
013.9538
013.9538
013.9538
SECURED FUND
10
013.4800
013.4800
013.4800
BALANCED FUND
10
013.2157
013.2157
013.2157
GROWTH FUND
10
013.7319
013.7319
013.7319
***LIC's PROFIT PLUS (188) NAV's AS ON DATE 08.02.2010 ..........
***LIC's PROFIT PLUS (188) NAV's AS ON DATE 08.02.2010 ..........
BOND FUND
10
012.5350
012.5350
012.5350
SECURED FUND
10
011.4981
011.4981
011.4981
BALANCED FUND
10
012.0765
012.0765
012.0765
GROWTH FUND
10
010.5317
010.5317
010.5317
BOND FUND
10
012.5350
012.5350
012.5350
SECURED FUND
10
011.4981
011.4981
011.4981
BALANCED FUND
10
012.0765
012.0765
012.0765
GROWTH FUND
10
010.5317
010.5317
010.5317
***LIC's NAV's AS ON DATE 08.02.2010 ..........
***LIC's NAV's AS ON DATE 08.02.2010 ..........
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
FUTURE PLUS (172)
BOND FUND
10
013.4797
013.4797
013.4797
INCOME FUND
10
015.5709
015.5709
015.5709
BALANCED FUND
10
016.3974
016.3974
016.3974
GROWTH FUND
10
021.2294
021.2294
021.2294
JEEVAN PLUS (173)
BOND FUND
10
013.4571
013.4571
013.4571
SECURED FUND
10
013.6921
013.6921
013.6921
BALANCED FUND
10
014.1535
014.1535
014.1535
GROWTH FUND
10
019.4338
019.4338
019.4338
MARKET PLUS (181)
BOND FUND
10
013.9538
013.9538
013.9538
SECURED FUND
10
013.4800
013.4800
013.4800
BALANCED FUND
10
013.2157
013.2157
013.2157
GROWTH FUND
10
013.7319
013.7319
013.7319
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7181
012.7181
012.7181
SECURED FUND
10
012.4351
012.4351
012.4351
BALANCED FUND
10
012.4567
012.4567
012.4567
GROWTH FUND
10
010.9432
010.9432
010.9432
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.2252
012.2252
012.2252
SECURED FUND
10
012.1326
012.1326
012.1326
BALANCED FUND
10
011.1176
011.1176
011.1176
GROWTH FUND
10
010.7030
010.7030
010.7030
PROFIT PLUS (188)
BOND FUND
10
012.5350
012.5350
012.5350
SECURED FUND
10
011.4981
011.4981
011.4981
BALANCED FUND
10
012.0765
012.0765
012.0765
GROWTH FUND
10
010.5317
010.5317
010.5317
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.2284
13.2284
13.2284
INCOME FUND
10
13.9214
13.9214
13.9214
BALANCED FUND
10
14.0685
14.0685
14.0685
GROWTH FUND
10
13.3051
13.3051
13.3051
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1266
011.1266
011.1266
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5420
012.5420
012.5420
SECURED FUND
10
014.2626
014.2626
014.2626
BALANCED FUND
10
013.9926
013.9926
013.9926
GROWTH FUND
10
012.8534
012.8534
012.8534
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.6081
011.6081
011.6081
SECURED FUND
10
011.7403
011.7403
011.7403
BALANCED FUND
10
011.8740
011.8740
011.8740
GROWTH FUND
10
012.6643
012.6643
012.6643
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8053
010.8053
010.8053
SECURED FUND
10
014.4149
014.4149
014.4149
BALANCED FUND
10
013.9542
013.9542
013.9542
GROWTH FUND
10
014.0220
014.0220
014.0220
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6320
010.6320
010.6320
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3721
010.3721
010.3721
SECURED FUND
10
010.1347
010.1347
010.1347
BALANCED FUND
10
010.2284
010.2284
010.2284
GROWTH FUND
10
010.6125
010.6125
010.6125
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
FUTURE PLUS (172)
BOND FUND
10
013.4797
013.4797
013.4797
INCOME FUND
10
015.5709
015.5709
015.5709
BALANCED FUND
10
016.3974
016.3974
016.3974
GROWTH FUND
10
021.2294
021.2294
021.2294
JEEVAN PLUS (173)
BOND FUND
10
013.4571
013.4571
013.4571
SECURED FUND
10
013.6921
013.6921
013.6921
BALANCED FUND
10
014.1535
014.1535
014.1535
GROWTH FUND
10
019.4338
019.4338
019.4338
MARKET PLUS (181)
BOND FUND
10
013.9538
013.9538
013.9538
SECURED FUND
10
013.4800
013.4800
013.4800
BALANCED FUND
10
013.2157
013.2157
013.2157
GROWTH FUND
10
013.7319
013.7319
013.7319
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7181
012.7181
012.7181
SECURED FUND
10
012.4351
012.4351
012.4351
BALANCED FUND
10
012.4567
012.4567
012.4567
GROWTH FUND
10
010.9432
010.9432
010.9432
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.2252
012.2252
012.2252
SECURED FUND
10
012.1326
012.1326
012.1326
BALANCED FUND
10
011.1176
011.1176
011.1176
GROWTH FUND
10
010.7030
010.7030
010.7030
PROFIT PLUS (188)
BOND FUND
10
012.5350
012.5350
012.5350
SECURED FUND
10
011.4981
011.4981
011.4981
BALANCED FUND
10
012.0765
012.0765
012.0765
GROWTH FUND
10
010.5317
010.5317
010.5317
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.2284
13.2284
13.2284
INCOME FUND
10
13.9214
13.9214
13.9214
BALANCED FUND
10
14.0685
14.0685
14.0685
GROWTH FUND
10
13.3051
13.3051
13.3051
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1266
011.1266
011.1266
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5420
012.5420
012.5420
SECURED FUND
10
014.2626
014.2626
014.2626
BALANCED FUND
10
013.9926
013.9926
013.9926
GROWTH FUND
10
012.8534
012.8534
012.8534
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.6081
011.6081
011.6081
SECURED FUND
10
011.7403
011.7403
011.7403
BALANCED FUND
10
011.8740
011.8740
011.8740
GROWTH FUND
10
012.6643
012.6643
012.6643
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8053
010.8053
010.8053
SECURED FUND
10
014.4149
014.4149
014.4149
BALANCED FUND
10
013.9542
013.9542
013.9542
GROWTH FUND
10
014.0220
014.0220
014.0220
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6320
010.6320
010.6320
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3721
010.3721
010.3721
SECURED FUND
10
010.1347
010.1347
010.1347
BALANCED FUND
10
010.2284
010.2284
010.2284
GROWTH FUND
10
010.6125
010.6125
010.6125
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
Sunday, February 7, 2010
*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:06.02.2010........
*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:06.02.2010........
BOND FUND
10
012.5287
012.5287
012.5287
SECURED FUND
10
011.4850
011.4850
011.4850
BALANCED FUND
10
012.0839
012.0839
012.0839
GROWTH FUND
10
010.5065
010.5065
010.5065
BOND FUND
10
012.5287
012.5287
012.5287
SECURED FUND
10
011.4850
011.4850
011.4850
BALANCED FUND
10
012.0839
012.0839
012.0839
GROWTH FUND
10
010.5065
010.5065
010.5065
***LIC's NAV's AS ON DATE 06.02.2010 ..........
***LIC's NAV's AS ON DATE 06.02.2010 ..........
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
FUTURE PLUS (172)
BOND FUND
10
013.4760
013.4760
013.4760
INCOME FUND
10
015.5847
015.5847
015.5847
BALANCED FUND
10
016.4068
016.4068
016.4068
GROWTH FUND
10
021.1876
021.1876
021.1876
JEEVAN PLUS (173)
BOND FUND
10
013.4294
013.4294
013.4294
SECURED FUND
10
013.6896
013.6896
013.6896
BALANCED FUND
10
014.0971
014.0971
014.0971
GROWTH FUND
10
019.3351
019.3351
019.3351
MARKET PLUS (181)
BOND FUND
10
013.9139
013.9139
013.9139
SECURED FUND
10
013.4726
013.4726
013.4726
BALANCED FUND
10
013.2012
013.2012
013.2012
GROWTH FUND
10
013.6990
013.6990
013.6990
MONEY PLUS (180)
BOND FUND
10
012.7148
012.7148
012.7148
SECURED FUND
10
012.4234
012.4234
012.4234
BALANCED FUND
10
012.4502
012.4502
012.4502
GROWTH FUND
10
010.9123
010.9123
010.9123
FORTUNE PLUS (187)
BOND FUND
10
012.2077
012.2077
012.2077
SECURED FUND
10
012.1297
012.1297
012.1297
BALANCED FUND
10
011.1205
011.1205
011.1205
GROWTH FUND
10
010.6674
010.6674
010.6674
PROFIT PLUS (188)
BOND FUND
10
012.5287
012.5287
012.5287
SECURED FUND
10
011.4850
011.4850
011.4850
BALANCED FUND
10
012.0839
012.0839
012.0839
GROWTH FUND
10
010.5065
010.5065
010.5065
GRATUITY PLUS
BOND FUND
10
13.1778 13.1778 13.1778
INCOME FUND
10
13.8704
13.8704
13.8704
BALANCED FUND
10
14.0031
14.0031
14.0031
GROWTH FUND
10
13.2291
13.2291
13.2291
HEALTH PLUS (901)
HEALTH PLUS FUND
10
011.1048
011.1048
011.1048
MONEY PLUS - I (193)
BOND FUND
10
012.5389
012.5389
012.5389
SECURED FUND
10
014.2921
014.2921
014.2921
BALANCED FUND
10
014.0154
014.0154
014.0154
GROWTH FUND
10
012.8427
012.8427
012.8427
MARKET PLUS-I (191)
BOND FUND
10
011.5956
011.5956
011.5956
SECURED FUND
10
011.7572
011.7572
011.7572
BALANCED FUND
10
011.8838
011.8838
011.8838
GROWTH FUND
10
012.6694
012.6694
012.6694
CHILD FORTUNE PLUS (194)
BOND FUND
10
010.8029
010.8029
010.8029
SECURED FUND
10
014.4547
014.4547
014.4547
BALANCED FUND
10
013.9687
013.9687
013.9687
GROWTH FUND
10
013.9959
013.9959
013.9959
HEALTH PROTECTION PLUS (902)
HEALTH PROTECTION PLUS FUND
10
010.5920
010.5920
010.5920
JEEVAN SAATHI PLUS (197)
BOND FUND
10
010.3686
010.3686
010.3686
SECURED FUND
10
010.1804
010.1804
010.1804
BALANCED FUND
10
010.2465
010.2465
010.2465
GROWTH FUND
10
010.6557
010.6557
010.6557
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALE VALUE
BIMA PLUS (140)
SECURED FUND
10
028.7734
027.3347
028.7734
BALANCED FUND
10
034.9241
033.1779
034.9241
RISK FUND
10
048.6760
046.2422
048.6760
FUTURE PLUS (172)
BOND FUND
10
013.4760
013.4760
013.4760
INCOME FUND
10
015.5847
015.5847
015.5847
BALANCED FUND
10
016.4068
016.4068
016.4068
GROWTH FUND
10
021.1876
021.1876
021.1876
JEEVAN PLUS (173)
BOND FUND
10
013.4294
013.4294
013.4294
SECURED FUND
10
013.6896
013.6896
013.6896
BALANCED FUND
10
014.0971
014.0971
014.0971
GROWTH FUND
10
019.3351
019.3351
019.3351
MARKET PLUS (181)
BOND FUND
10
013.9139
013.9139
013.9139
SECURED FUND
10
013.4726
013.4726
013.4726
BALANCED FUND
10
013.2012
013.2012
013.2012
GROWTH FUND
10
013.6990
013.6990
013.6990
MONEY PLUS (180)
BOND FUND
10
012.7148
012.7148
012.7148
SECURED FUND
10
012.4234
012.4234
012.4234
BALANCED FUND
10
012.4502
012.4502
012.4502
GROWTH FUND
10
010.9123
010.9123
010.9123
FORTUNE PLUS (187)
BOND FUND
10
012.2077
012.2077
012.2077
SECURED FUND
10
012.1297
012.1297
012.1297
BALANCED FUND
10
011.1205
011.1205
011.1205
GROWTH FUND
10
010.6674
010.6674
010.6674
PROFIT PLUS (188)
BOND FUND
10
012.5287
012.5287
012.5287
SECURED FUND
10
011.4850
011.4850
011.4850
BALANCED FUND
10
012.0839
012.0839
012.0839
GROWTH FUND
10
010.5065
010.5065
010.5065
GRATUITY PLUS
BOND FUND
10
13.1778 13.1778 13.1778
INCOME FUND
10
13.8704
13.8704
13.8704
BALANCED FUND
10
14.0031
14.0031
14.0031
GROWTH FUND
10
13.2291
13.2291
13.2291
HEALTH PLUS (901)
HEALTH PLUS FUND
10
011.1048
011.1048
011.1048
MONEY PLUS - I (193)
BOND FUND
10
012.5389
012.5389
012.5389
SECURED FUND
10
014.2921
014.2921
014.2921
BALANCED FUND
10
014.0154
014.0154
014.0154
GROWTH FUND
10
012.8427
012.8427
012.8427
MARKET PLUS-I (191)
BOND FUND
10
011.5956
011.5956
011.5956
SECURED FUND
10
011.7572
011.7572
011.7572
BALANCED FUND
10
011.8838
011.8838
011.8838
GROWTH FUND
10
012.6694
012.6694
012.6694
CHILD FORTUNE PLUS (194)
BOND FUND
10
010.8029
010.8029
010.8029
SECURED FUND
10
014.4547
014.4547
014.4547
BALANCED FUND
10
013.9687
013.9687
013.9687
GROWTH FUND
10
013.9959
013.9959
013.9959
HEALTH PROTECTION PLUS (902)
HEALTH PROTECTION PLUS FUND
10
010.5920
010.5920
010.5920
JEEVAN SAATHI PLUS (197)
BOND FUND
10
010.3686
010.3686
010.3686
SECURED FUND
10
010.1804
010.1804
010.1804
BALANCED FUND
10
010.2465
010.2465
010.2465
GROWTH FUND
10
010.6557
010.6557
010.6557
Friday, February 5, 2010
*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:04.02.2010........
*** LIC's PROFIT PLUS (188) NAV's AS ON DATE:04.02.2010........
BOND FUND
10
012.5227
012.5227
012.5227
SECURED FUND
10
011.6033
011.6033
011.6033
BALANCED FUND
10
012.2224
012.2224
012.2224
GROWTH FUND
10
010.6408
010.6408
010.6408
BOND FUND
10
012.5227
012.5227
012.5227
SECURED FUND
10
011.6033
011.6033
011.6033
BALANCED FUND
10
012.2224
012.2224
012.2224
GROWTH FUND
10
010.6408
010.6408
010.6408
*** LIC's MARKET PLUS-I (191) NAV'S AS ON DATE:04.02.2010........
*** LIC's MARKET PLUS-I (191) NAV's AS ON DATE:04.02.2010........
BOND FUND
10
011.5840
011.5840
011.5840
SECURED FUND
10
011.8596
011.8596
011.8596
BALANCED FUND
10
011.9731
011.9731
011.9731
GROWTH FUND
10
012.8125
012.8125
012.8125
BOND FUND
10
011.5840
011.5840
011.5840
SECURED FUND
10
011.8596
011.8596
011.8596
BALANCED FUND
10
011.9731
011.9731
011.9731
GROWTH FUND
10
012.8125
012.8125
012.8125
*** LIC's NAV'S AS ON DATE:04.02.2010........
*** LIC's NAV'S AS ON DATE:04.02.2010........
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
029.0844
027.6302
029.0844
BALANCED FUND
10
035.4935
033.7189
035.4935
RISK FUND
10
049.6193
047.1383
049.6193
FUTURE PLUS (172)
BOND FUND
10
013.4593
013.4593
013.4593
INCOME FUND
10
015.6013
015.6013
015.6013
BALANCED FUND
10
016.4665
016.4665
016.4665
GROWTH FUND
10
021.4488
021.4488
021.4488
JEEVAN PLUS (173)
BOND FUND
10
013.4190
013.4190
013.4190
SECURED FUND
10
013.7118
013.7118
013.7118
BALANCED FUND
10
014.1397
014.1397
014.1397
GROWTH FUND
10
019.5429
019.5429
019.5429
MARKET PLUS (181)
BOND FUND
10
013.9048
013.9048
013.9048
SECURED FUND
10
013.5128
013.5128
013.5128
BALANCED FUND
10
013.2743
013.2743
013.2743
GROWTH FUND
10
013.8665
013.8665
013.8665
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7079
012.7079
012.7079
SECURED FUND
10
012.4526
012.4526
012.4526
BALANCED FUND
10
012.5135
012.5135
012.5135
GROWTH FUND
10
011.0502
011.0502
011.0502
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.1936
012.1936
012.1936
SECURED FUND
10
012.1982
012.1982
012.1982
BALANCED FUND
10
011.2249
011.2249
011.2249
GROWTH FUND
10
010.7881
010.7881
010.7881
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5227
012.5227
012.5227
SECURED FUND
10
011.6033
011.6033
011.6033
BALANCED FUND
10
012.2224
012.2224
012.2224
GROWTH FUND
10
010.6408
010.6408
010.6408
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.1724
13.1724
13.1724
INCOME FUND
10
14.0064
14.0064
14.0064
BALANCED FUND
10
14.2168
14.2168
14.2168
GROWTH FUND
10
13.4668
13.4668
13.4668
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1480
011.1480
011.1480
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5319
012.5319
012.5319
SECURED FUND
10
014.4230
014.4230
014.4230
BALANCED FUND
10
014.1271
014.1271
014.1271
GROWTH FUND
10
012.9275
012.9275
012.9275
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.5840
011.5840
011.5840
SECURED FUND
10
011.8596
011.8596
011.8596
BALANCED FUND
10
011.9731
011.9731
011.9731
GROWTH FUND
10
012.8125
012.8125
012.8125
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.7912
010.7912
010.7912
SECURED FUND
10
014.5258
014.5258
014.5258
BALANCED FUND
10
014.0863
014.0863
014.0863
GROWTH FUND
10
014.1039
014.1039
014.1039
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6234
010.6234
010.6234
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3446
010.3446
010.3446
SECURED FUND
10
010.1085
010.1085
010.1085
BALANCED FUND
10
010.1956
010.1956
010.1956
GROWTH FUND
10
010.7437
010.7437
010.7437
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
BASIC UNIT VALUE
NAV AS ON DATE
REPURCHASE VALUE
SALEVALUE
BIMA PLUS (140)
SECURED FUND
10
029.0844
027.6302
029.0844
BALANCED FUND
10
035.4935
033.7189
035.4935
RISK FUND
10
049.6193
047.1383
049.6193
FUTURE PLUS (172)
BOND FUND
10
013.4593
013.4593
013.4593
INCOME FUND
10
015.6013
015.6013
015.6013
BALANCED FUND
10
016.4665
016.4665
016.4665
GROWTH FUND
10
021.4488
021.4488
021.4488
JEEVAN PLUS (173)
BOND FUND
10
013.4190
013.4190
013.4190
SECURED FUND
10
013.7118
013.7118
013.7118
BALANCED FUND
10
014.1397
014.1397
014.1397
GROWTH FUND
10
019.5429
019.5429
019.5429
MARKET PLUS (181)
BOND FUND
10
013.9048
013.9048
013.9048
SECURED FUND
10
013.5128
013.5128
013.5128
BALANCED FUND
10
013.2743
013.2743
013.2743
GROWTH FUND
10
013.8665
013.8665
013.8665
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7079
012.7079
012.7079
SECURED FUND
10
012.4526
012.4526
012.4526
BALANCED FUND
10
012.5135
012.5135
012.5135
GROWTH FUND
10
011.0502
011.0502
011.0502
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.1936
012.1936
012.1936
SECURED FUND
10
012.1982
012.1982
012.1982
BALANCED FUND
10
011.2249
011.2249
011.2249
GROWTH FUND
10
010.7881
010.7881
010.7881
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5227
012.5227
012.5227
SECURED FUND
10
011.6033
011.6033
011.6033
BALANCED FUND
10
012.2224
012.2224
012.2224
GROWTH FUND
10
010.6408
010.6408
010.6408
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.1724
13.1724
13.1724
INCOME FUND
10
14.0064
14.0064
14.0064
BALANCED FUND
10
14.2168
14.2168
14.2168
GROWTH FUND
10
13.4668
13.4668
13.4668
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.1480
011.1480
011.1480
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5319
012.5319
012.5319
SECURED FUND
10
014.4230
014.4230
014.4230
BALANCED FUND
10
014.1271
014.1271
014.1271
GROWTH FUND
10
012.9275
012.9275
012.9275
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.5840
011.5840
011.5840
SECURED FUND
10
011.8596
011.8596
011.8596
BALANCED FUND
10
011.9731
011.9731
011.9731
GROWTH FUND
10
012.8125
012.8125
012.8125
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.7912
010.7912
010.7912
SECURED FUND
10
014.5258
014.5258
014.5258
BALANCED FUND
10
014.0863
014.0863
014.0863
GROWTH FUND
10
014.1039
014.1039
014.1039
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6234
010.6234
010.6234
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3446
010.3446
010.3446
SECURED FUND
10
010.1085
010.1085
010.1085
BALANCED FUND
10
010.1956
010.1956
010.1956
GROWTH FUND
10
010.7437
010.7437
010.7437
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
Wednesday, February 3, 2010
### 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 HEALTH PROTECTION PLUS (902) NAV'S AS ON DATE:01.02.2010........
*** LIC's HEALTH PROTECTION PLUS (902) NAV'S AS ON DATE:01.02.2010........
HEALTH PROTECTION PLUS FUND
10
010.6676
010.6676
010.6676
HEALTH PROTECTION PLUS FUND
10
010.6676
010.6676
010.6676
*** LIC's PROFIT PLUS (188) NAV'S AS ON DATE:01.02.2010........
*** LIC's PROFIT PLUS (188) NAV'S AS ON DATE:01.02.2010........
BOND FUND
10
012.5549
012.5549
012.5549
SECURED FUND
10
011.7351
011.7351
011.7351
BALANCED FUND
10
012.3684
012.3684
012.3684
GROWTH FUND
10
010.7362
010.7362
010.7362
BOND FUND
10
012.5549
012.5549
012.5549
SECURED FUND
10
011.7351
011.7351
011.7351
BALANCED FUND
10
012.3684
012.3684
012.3684
GROWTH FUND
10
010.7362
010.7362
010.7362
*** LIC's NAV'S AS ON DATE:01.02.2010........
*** LIC's NAV'S AS ON DATE:01.02.2010........
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)
DATE OF LAUNCH04.03.2005
BOND FUND
10
013.4724
013.4724
013.4724
INCOME FUND
10
015.6527
015.6527
015.6527
BALANCED FUND
10
016.5443
016.5443
016.5443
GROWTH FUND
10
021.6702
021.6702
021.6702
JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005
BOND FUND
10
013.4785
013.4785
013.4785
SECURED FUND
10
013.7784
013.7784
013.7784
BALANCED FUND
10
014.2122
014.2122
014.2122
GROWTH FUND
10
019.7459
019.7459
019.7459
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006
BOND FUND
10
013.9227
013.9227
013.9227
SECURED FUND
10
013.5784
013.5784
013.5784
BALANCED FUND
10
013.3543
013.3543
013.3543
GROWTH FUND
10
013.9989
013.9989
013.9989
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7228
012.7228
012.7228
SECURED FUND
10
012.5050
012.5050
012.5050
BALANCED FUND
10
012.5986
012.5986
012.5986
GROWTH FUND
10
011.1628
011.1628
011.1628
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.2290
012.2290
012.2290
SECURED FUND
10
012.2795
012.2795
012.2795
BALANCED FUND
10
011.3236
011.3236
011.3236
GROWTH FUND
10
010.9119
010.9119
010.9119
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5549
012.5549
012.5549
SECURED FUND
10
011.7351
011.7351
011.7351
BALANCED FUND
10
012.3684
012.3684
012.3684
GROWTH FUND
10
010.7362
010.7362
010.7362
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.2605
13.2605
13.2605
INCOME FUND
10
14.0307
14.0307
14.0307
BALANCED FUND
10
14.2415
14.2415
14.2415
GROWTH FUND
10
13.4739
13.4739
13.4739
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.2106
011.2106
011.2106
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5627
012.5627
012.5627
SECURED FUND
10
014.5371
014.5371
014.5371
BALANCED FUND
10
014.2197
014.2197
014.2197
GROWTH FUND
10
013.0057
013.0057
013.0057
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.6066
011.6066
011.6066
SECURED FUND
10
011.9689
011.9689
011.9689
BALANCED FUND
10
012.0697
012.0697
012.0697
GROWTH FUND
10
012.9458
012.9458
012.9458
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8088
010.8088
010.8088
SECURED FUND
10
014.5726
014.5726
014.5726
BALANCED FUND
10
014.1922
014.1922
014.1922
GROWTH FUND
10
014.1736
014.1736
014.1736
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6676
010.6676
010.6676
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3791
010.3791
010.3791
SECURED FUND
10
010.1056
010.1056
010.1056
BALANCED FUND
10
010.2110
010.2110
010.2110
GROWTH FUND
10
010.8391
010.8391
010.8391
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
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)
DATE OF LAUNCH04.03.2005
BOND FUND
10
013.4724
013.4724
013.4724
INCOME FUND
10
015.6527
015.6527
015.6527
BALANCED FUND
10
016.5443
016.5443
016.5443
GROWTH FUND
10
021.6702
021.6702
021.6702
JEEVAN PLUS (173)
DATE OF LAUNCH18.10.2005
BOND FUND
10
013.4785
013.4785
013.4785
SECURED FUND
10
013.7784
013.7784
013.7784
BALANCED FUND
10
014.2122
014.2122
014.2122
GROWTH FUND
10
019.7459
019.7459
019.7459
MARKET PLUS (181)
DATE OF LAUNCH05.07.2006
BOND FUND
10
013.9227
013.9227
013.9227
SECURED FUND
10
013.5784
013.5784
013.5784
BALANCED FUND
10
013.3543
013.3543
013.3543
GROWTH FUND
10
013.9989
013.9989
013.9989
MONEY PLUS (180)
DATE OF LAUNCH20.12.2006
BOND FUND
10
012.7228
012.7228
012.7228
SECURED FUND
10
012.5050
012.5050
012.5050
BALANCED FUND
10
012.5986
012.5986
012.5986
GROWTH FUND
10
011.1628
011.1628
011.1628
FORTUNE PLUS (187)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.2290
012.2290
012.2290
SECURED FUND
10
012.2795
012.2795
012.2795
BALANCED FUND
10
011.3236
011.3236
011.3236
GROWTH FUND
10
010.9119
010.9119
010.9119
PROFIT PLUS (188)
DATE OF LAUNCH23.08.2007
BOND FUND
10
012.5549
012.5549
012.5549
SECURED FUND
10
011.7351
011.7351
011.7351
BALANCED FUND
10
012.3684
012.3684
012.3684
GROWTH FUND
10
010.7362
010.7362
010.7362
GRATUITY PLUS
DATE OF LAUNCH16.06.2009
BOND FUND
10
13.2605
13.2605
13.2605
INCOME FUND
10
14.0307
14.0307
14.0307
BALANCED FUND
10
14.2415
14.2415
14.2415
GROWTH FUND
10
13.4739
13.4739
13.4739
HEALTH PLUS (901)
DATE OF LAUNCH04.02.2008
HEALTH PLUS FUND
10
011.2106
011.2106
011.2106
MONEY PLUS - I (193)
DATE OF LAUNCH22.05.2008
BOND FUND
10
012.5627
012.5627
012.5627
SECURED FUND
10
014.5371
014.5371
014.5371
BALANCED FUND
10
014.2197
014.2197
014.2197
GROWTH FUND
10
013.0057
013.0057
013.0057
MARKET PLUS-I (191)
DATE OF LAUNCH17.06.2008
BOND FUND
10
011.6066
011.6066
011.6066
SECURED FUND
10
011.9689
011.9689
011.9689
BALANCED FUND
10
012.0697
012.0697
012.0697
GROWTH FUND
10
012.9458
012.9458
012.9458
CHILD FORTUNEPLUS (194)
DATE OF LAUNCH01.11.2008
BOND FUND
10
010.8088
010.8088
010.8088
SECURED FUND
10
014.5726
014.5726
014.5726
BALANCED FUND
10
014.1922
014.1922
014.1922
GROWTH FUND
10
014.1736
014.1736
014.1736
HEALTH PROTECTION PLUS (902)
DATE OF LAUNCH 29.04.2009
HEALTH PROTECTION PLUS FUND
10
010.6676
010.6676
010.6676
JEEVAN SAATHI PLUS (197)
DATE OF LAUNCH-29.06.2009
BOND FUND
10
010.3791
010.3791
010.3791
SECURED FUND
10
010.1056
010.1056
010.1056
BALANCED FUND
10
010.2110
010.2110
010.2110
GROWTH FUND
10
010.8391
010.8391
010.8391
# Subject to Market risk ; Not guaranteed
# Past performance may not indicate future performance
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