Life Insurance Corporation of India

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Total Funds: 53   
Page of 3   
Fund Name
Category
Latest NAV
NAV Date
Conservative Allocation
33.6313
02/08/2021
Aggressive Allocation
52.1916
02/08/2021
Equity - Other
23.9226
02/08/2021
Aggressive Allocation
23.6844
02/08/2021
Balanced Allocation
30.1339
02/08/2021
Aggressive Allocation
16.4130
12/05/2018
Other Bond
26.1366
02/08/2021
Other Bond
35.6606
02/08/2021
Conservative Allocation
33.2868
02/08/2021
Other Bond
30.2068
02/08/2021
Group Bond
32.6956
02/08/2021
Other Bond
26.9407
02/08/2021
Other Bond
32.3280
02/08/2021
Group Allocation
41.6166
02/08/2021
Conservative Allocation
38.3233
02/08/2021
Aggressive Allocation
57.6300
02/08/2021
Balanced Allocation
33.0336
02/08/2021
Balanced Allocation
36.5326
02/08/2021
Balanced Allocation
38.7995
02/08/2021
Balanced Allocation
36.3073
02/08/2021
Conservative Allocation
38.5959
02/08/2021
Other Bond
33.6271
02/08/2021
Aggressive Allocation
36.5806
02/08/2021
Balanced Allocation
26.0794
02/08/2021
Aggressive Allocation
46.5814
02/08/2021
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