About LIC NAV
NAV (Net Asset Value) is the value of an entity’s assets minus the value of its liabilities. This LIC NAV will be available for all Unit Linked policies (ULIPs).
In this website, we provide NAV of LIC (Net Asset Value) for all Ulip plans. It is the value based on which the net rate of returns on ULIPs that are provided by the corporation. Plans under LIC for which we are providing NAV are Bima Plus, LIC Future Plus NAV, Jeevan Plus, LIC Money Plus NAV, Market Plus, Fortune Plus, LIC Profit Plus NAV, LIC Market Plus-1 NAV, LIC Child Fortune Plus NAV, Jeevan Sathi Plus, wealth Plus, LIC Endowment Plus NAV, Pension plus, Samridhi Plus, Flexi plus, Health plus, Health protection plus. Life Insurance Corporation of India NAV History will be made available on this website. LIC NAV History for all ulip plans will be available.
LIC NAV Value will be displayed separately for all plans. LICNAV Today is available for all the ULIP plans of LIC India. We are providing the Latest LIC Net Asset Value for all plans. You can Check LIC NAV Rate, NAV Value of LIC using Latest Life Insurance Corporation of India NAV of the day available on our website.
NAV = (Market value of All Securities held by Fund + Cash and Equivalent holdings – Fund Liabilities) / Total Fund shares outstanding.
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