SFIN Fund Options NAV Date NAV(Rs)
ULIF 003 01/11/08 LICCHF+BAL 512 LIC Child Fortune Plus - Balanced Fund 01-Aug-2025 49.04
ULIF 001 01/11/08 LICCHF+BND 512 LIC Child Fortune Plus - Bond Fund 01-Aug-2025 34.66
ULIF 004 01/11/08 LICCHF+GRW 512 LIC Child Fortune Plus - Growth Fund 01-Aug-2025 70.24
ULIF 002 01/11/08 LICCHF+SEC 512 LIC Child Fortune Plus - Secured Fund 01-Aug-2025 53.60
ULIF 003 20/09/10 LICEND+BAL 512 LIC Endowment Plus Plan - Balanced Fund 01-Aug-2025 36.50
ULIF 001 20/09/10 LICEND+BND 512 LIC Endowment Plus Plan - Bond Fund 01-Aug-2025 31.40
ULIF 004 20/09/10 LICEND+GRW 512 LIC Endowment Plus Plan - Growth Fund 01-Aug-2025 42.61
ULIF 002 20/09/10 LICEND+SEC 512 LIC Endowment Plus Plan - Secured Fund 01-Aug-2025 35.38
ULIF 001 18/09/12 LICFLX+DBT 512 LIC Flexi Plus Plan - Debt Fund 01-Aug-2025 26.45
ULIF 002 18/09/12 LICFLX=+MIX 512 LIC Flexi Plus Plan - Mixed Fund 01-Aug-2025 29.48