Life Insurance Corporation of India

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Total Funds: 53   
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Fund Name
Category
Latest NAV
NAV Date
Balanced Allocation
20.1597
30/09/2020
Group Allocation
32.3175
30/09/2020
Conservative Allocation
24.2283
30/09/2020
Balanced Allocation
20.1677
30/09/2020
Other Bond
27.2043
30/09/2020
Aggressive Allocation
22.0130
30/09/2020
Balanced Allocation
27.4096
30/09/2020
Conservative Allocation
23.4333
30/09/2020
Conservative Allocation
35.9640
30/09/2020
Multi-Cap
19.3293
30/09/2020
Aggressive Allocation
20.3518
30/09/2020
Other Bond
24.2770
30/09/2020
Other Bond
30.7377
30/09/2020
Balanced Allocation
32.8345
30/09/2020
Conservative Allocation
36.2697
30/09/2020
Conservative Allocation
23.6582
30/09/2020
Other Bond
31.1872
30/09/2020
Balanced Allocation
23.2270
30/09/2020
Balanced Allocation
28.9467
30/09/2020
Balanced Allocation
35.9355
30/09/2020
Group Bond
35.1234
30/09/2020
Other Bond
23.0588
30/09/2020
Aggressive Allocation
20.3414
30/09/2020
Balanced Allocation
20.5007
30/09/2020
Conservative Allocation
18.6063
30/09/2020
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