SFIN Fund Options NAV Date NAV(Rs)
ULIF 003 20/12/06 LICMNY+BAL 512 LIC Money Plus - Balanced Fund 01-Aug-2025 51.75
ULIF 001 20/12/06 LICMNY+BND 512 LIC Money Plus - Bond Fund 01-Aug-2025 41.25
ULIF 004 20/12/06 LICMNY+GRW 512 LIC Money Plus - Growth Fund 01-Aug-2025 36.61
ULIF 003 22/05/08 LICMY1+BAL 512 LIC Money Plus - I - Balanced Fund 01-Aug-2025 55.59
ULIF 001 22/05/08 LICMY1+BND 512 LIC Money Plus - I - Bond Fund 01-Aug-2025 43.76
ULIF 004 22/05/08 LICMY1+GRW 512 LIC Money Plus - I - Growth Fund 01-Aug-2025 59.46
ULIF 002 22/05/08 LICMY1+SEC 512 LIC Money Plus - I - Secured Fund 01-Aug-2025 56.87
ULIF 002 20/12/06 LICMNY+SEC 512 LIC Money Plus - Secured Fund 01-Aug-2025 45.00
ULIF 003 20/11/14 LICNED+BAL 512 LIC New Endowment Plus - Balanced Fund 01-Aug-2025 27.42
ULIF 001 20/11/14 LICNED+BND 512 LIC New Endowment Plus - Bond Fund 01-Aug-2025 20.84