7 Replies to “Please let me know the NAV value for LIC Money Plus & Market Plus policy. Thanks?”



  1. Nav value for LIC Money Plus is as under :

    Fund Type 01.07.09 02.07.09
    Balanced Fund 11.46 11.49
    Bond Fund 12.50 12.55
    Growth Fund 10.10 10.14
    Secured Fund 12.68 12.74

    Nav value for LIC Market Plus NAV is as under :

    Fund Type 01.07.09 02.07.09
    Balanced Fund 12.26 12.32
    Bond Fund 13.77 13.81
    Growth Fund 12.55 12.59

    Look for the fund you have opted and then compare the nav value for the above given dates.

    To find nav values for different plans of all insurance companies visit




  2. I want to know the policy status of the following policies ,What will be the amount of these policy to withdraw at this time. Pl inform me soon on my E Mail.
    Policy No opened on type
    263997525 11/10/2006 181-10
    263997526 11/10/2006 181-10
    264362305 14/07/2007 180-10
    264362306 14/07/2007 180-10
    264362307 14/07/2007 180-11
    264362307 14/07/2007 180-10
    264362308 14/07/2007 180-10
    264362412 18/07/2007 180-10
    2643624147 18/07/2007 180-10
    264118353 26/03/2007 180-11
    264365946 19/10/2007 187-10





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