SFIN Fund Options NAV Date NAV(Rs)
ULIF 003 23/08/07 LICFTN+BAL 512 LIC Fortune Plus - Balanced Fund 01-Aug-2025 38.72
ULIF 001 23/08/07 LICFTN+BND 512 LIC Fortune Plus - Bond Fund 01-Aug-2025 38.19
ULIF 004 23/08/07 LICFTN+GRW 512 LIC Fortune Plus - Growth Fund 01-Aug-2025 37.48
ULIF 002 23/08/07 LICFTN+SEC 512 LIC Fortune Plus - Secured Fund 01-Aug-2025 45.76
ULIF 003 04/03/05 LICFUT+BAL 512 LIC Future Plus - Balanced Fund 01-Aug-2025 58.23
ULIF 001 04/03/05 LICFUT+BND 512 LIC Future Plus - Bond Fund 01-Aug-2025 34.43
ULIF 004 04/03/05 LICFUT+GRW 512 LIC Future Plus - Growth Fund 01-Aug-2025 83.10
ULIF 002 04/03/05 LICFUT+INC 512 LIC Future Plus - Income Fund 01-Aug-2025 54.68
ULGF 003 22/06/06 LICGRT+BAL 512 LIC Gratuity Plus - Balanced Fund 01-Aug-2025 51.85
ULGF 001 22/06/06 LICGRT+BND 512 LIC Gratuity Plus - Bond Fund 01-Aug-2025 41.10