SFIN Fund Options NAV Date NAV(Rs)
ULIF 001 20/11/14 LICDPFNLIF 512 LIC New Endowment Plus - Discontinued Policy Fund 01-Aug-2025 20.67
ULIF 004 20/11/14 LICNED+GRW 512 LIC New Endowment Plus - Growth Plan 01-Aug-2025 28.47
ULIF 002 20/11/14 LICNED+SEC 512 LIC New Endowment Plus - Secured Fund 01-Aug-2025 26.07
ULIF 003 24/12/18 LICULIPBAL 512 LIC Nivesh Plus - Balanced Fund 01-Aug-2025 18.26
ULIF 001 24/12/18 LICULIPBND 512 LIC Nivesh Plus - Bond Fund 01-Aug-2025 13.30
ULIF 001 20/11/14 LICDPFNLIF 512 LIC Nivesh Plus - Discontinued Policy Fund 01-Aug-2025 20.67
ULIF 004 24/12/18 LICULIPGRW 512 LIC Nivesh Plus - Growth Fund 01-Aug-2025 21.21
ULIF 002 24/12/18 LICULIPSEC 512 LIC Nivesh Plus - Secured Fund 01-Aug-2025 16.27
ULIF 001 02/09/10 LICPEN+DBT 512 LIC Pension Plus - Debt Fund 01-Aug-2025 29.35
ULIF 002 02/09/10 LICPEN+MIX 512 LIC Pension Plus - Mixed Fund 01-Aug-2025 34.60