Life Insurance Corporation of India

Filter Criteria
Category:
 
Total Funds: 53   
Page of 3   
Fund Name
Category
Latest NAV
NAV Date
Conservative Allocation
25.2827
04/10/2022
Other Bond
26.9186
04/10/2022
Aggressive Allocation
61.0794
04/10/2022
Balanced Allocation
34.2641
04/10/2022
Other Bond
36.8299
04/10/2022
Balanced Allocation
38.0568
04/10/2022
Other Bond
30.8687
04/10/2022
Conservative Allocation
34.7128
04/10/2022
Aggressive Allocation
30.1711
04/10/2022
Balanced Allocation
40.4392
04/10/2022
Balanced Allocation
37.7755
04/10/2022
Group Bond
33.5846
04/10/2022
Conservative Allocation
41.7918
04/10/2022
Other Bond
34.6896
04/10/2022
Aggressive Allocation
39.2606
04/10/2022
Balanced Allocation
27.4186
04/10/2022
Aggressive Allocation
47.8759
04/10/2022
Other Bond
27.7813
04/10/2022
Conservative Allocation
35.1044
04/10/2022
Aggressive Allocation
55.1056
04/10/2022
Other Bond
33.3521
04/10/2022
Equity - Other
26.3733
04/10/2022
Aggressive Allocation
16.4130
12/05/2018
Other Bond
23.2501
04/10/2022
Aggressive Allocation
25.3099
04/10/2022
Page of  3   

Top
Mutual Fund Tools
Ask Morningstar
Feedback