All Deals in one Place

Thursday, May 5, 2011

List of Schemes with NAV's for LIC Mutual Fund

List of Schemes with NAV's for LIC Mutual Fund


LIC NOMURA MF INCOME PLUS FUND - DAILY DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.0000
Repurchase Price 10.0000
Sale Price 10.0000
Date 05-May-2011

LIC NOMURA MF INCOME PLUS FUND - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 13.2326
Repurchase Price 13.2326
Sale Price 13.2326
Date 05-May-2011

LIC NOMURA MF INCOME PLUS FUND - MONTHLY DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.0362
Repurchase Price 10.0362
Sale Price 10.0362
Date 05-May-2011

LIC NOMURA MF INCOME PLUS FUND - WEEKLY DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.0148
Repurchase Price 10.0148
Sale Price 10.0148
Date 05-May-2011

LIC NOMURA MF Bond Fund-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 11.1369
Repurchase Price 11.0255
Sale Price 11.1369
Date 05-May-2011

LIC NOMURA MF Bond Fund-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 27.5245
Repurchase Price 27.2493
Sale Price 27.5245
Date 05-May-2011

LIC NOMURA MF Growth Fund - Dividend Option

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 11.1350
Repurchase Price 11.0237
Sale Price 11.1350
Date 05-May-2011

LIC NOMURA MF Growth Fund - Growth Option

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 12.5553
Repurchase Price 12.4297
Sale Price 12.5553
Date 05-May-2011

LIC NOMURA MF Equity Fund-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 10.1347
Repurchase Price 10.0334
Sale Price 10.1347
Date 05-May-2011

LIC NOMURA MF Index Fund-Sensex Advantage-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 31.9397
Repurchase Price 31.6203
Sale Price 31.9397
Date 05-May-2011

LIC NOMURA MF Index Fund-Nifty-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 30.1581
Repurchase Price 29.8565
Sale Price 30.1581
Date 05-May-2011

LIC NOMURA MF Index Fund-Nifty-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 11.1249
Repurchase Price 11.0137
Sale Price 11.1249
Date 05-May-2011

LIC NOMURA MF Index Fund-Sensex Advantage-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 11.2981
Repurchase Price 11.1851
Sale Price 11.2981
Date 05-May-2011

LIC NOMURA MF Index Fund-Sensex-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 11.6438
Repurchase Price 11.5274
Sale Price 11.6438
Date 05-May-2011

LIC NOMURA MF Index Fund-Sensex-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 33.9746
Repurchase Price 33.6349
Sale Price 33.9746
Date 05-May-2011

LIC NOMURA MF INDIA VISION FUND - DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 8.4644
Repurchase Price 8.3798
Sale Price 8.4644
Date 05-May-2011

LIC NOMURA MF INDIA VISION FUND - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 8.4649
Repurchase Price 8.3803
Sale Price 8.4649
Date 05-May-2011

LIC NOMURA MF INFRASTRUCTURE FUND - DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 8.7793
Repurchase Price 8.6915
Sale Price 8.7793
Date 05-May-2011

LIC NOMURA MF INFRASTRUCTURE FUND - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 8.7795
Repurchase Price 8.6917
Sale Price 8.7795
Date 05-May-2011

LIC NOMURA MF Opportunities Fund-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 10.3931
Repurchase Price 10.2892
Sale Price 10.3931
Date 05-May-2011

LIC NOMURA MF Opportunities Fund-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 18.2602
Repurchase Price 18.0776
Sale Price 18.2602
Date 05-May-2011

LIC NOMURA MF SYSTEMATIC ASSET ALLOCATION FUND - DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 9.8707
Repurchase Price 9.7720
Sale Price 9.8707
Date 05-May-2011

LIC NOMURA MF SYSTEMATIC ASSET ALLOCATION FUND - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 9.8684
Repurchase Price 9.7697
Sale Price 9.8684
Date 05-May-2011

LIC NOMURA MF TOP 100 FUND - DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 7.8338
Repurchase Price 7.7555
Sale Price 7.8338
Date 05-May-2011

LIC NOMURA MF TOP 100 FUND - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Growth
NAV 7.8339
Repurchase Price 7.7556
Sale Price 7.8339
Date 05-May-2011

LIC NOMURA MF Balanced Fund-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Balanced
NAV 53.9333
Repurchase Price 53.3940
Sale Price 53.9333
Date 05-May-2011

LIC NOMURA MF Unit Linked Insurance Scheme

Posted: 04 May 2011 05:00 PM PDT

Category Balanced
NAV 9.8017
Repurchase Price 9.8017
Sale Price 9.8017
Date 05-May-2011

LIC NOMURA MF Liquid Fund-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Liquid
NAV 10.9801
Repurchase Price 10.9801
Sale Price 10.9801
Date 05-May-2011

LIC NOMURA MF Liquid Fund-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Liquid
NAV 18.0752
Repurchase Price 18.0752
Sale Price 18.0752
Date 05-May-2011

LIC NOMURA MF Govt Securities Fund-PF Plan (D)

Posted: 04 May 2011 05:00 PM PDT

Category Gilt
NAV 12.6142
Repurchase Price 12.4881
Sale Price 12.6142
Date 05-May-2011

LIC NOMURA MF Govt Securities Fund-PF Plan (G)

Posted: 04 May 2011 05:00 PM PDT

Category Gilt
NAV 13.1910
Repurchase Price 13.0591
Sale Price 13.1910
Date 05-May-2011

LIC NOMURA MF Govt Securities Fund-Regular Plan (D)

Posted: 04 May 2011 05:00 PM PDT

Category Gilt
NAV 10.6439
Repurchase Price 10.5375
Sale Price 10.6439
Date 05-May-2011

LIC NOMURA MF Govt Securities Fund-Regular Plan (G)

Posted: 04 May 2011 05:00 PM PDT

Category Gilt
NAV 22.8766
Repurchase Price 22.6478
Sale Price 22.8766
Date 05-May-2011

LIC NOMURA MF Taxplan-Dividend

Posted: 04 May 2011 05:00 PM PDT

Category ELSS
NAV 10.2290
Repurchase Price 10.2290
Sale Price 10.2290
Date 05-May-2011

LIC NOMURA MF Taxplan-Growth

Posted: 04 May 2011 05:00 PM PDT

Category ELSS
NAV 28.5683
Repurchase Price 28.5683
Sale Price 28.5683
Date 05-May-2011

LIC NOMURA MF Floating Rate Fund - Short Term Plan - Daily Dividend

Posted: 04 May 2011 05:00 PM PDT

Category Floating Rate
NAV 10.0000
Repurchase Price 10.0000
Sale Price 10.0000
Date 05-May-2011

LIC NOMURA MF Floating Rate Fund - Short Term Plan-Growth

Posted: 04 May 2011 05:00 PM PDT

Category Floating Rate
NAV 16.1263
Repurchase Price 16.1263
Sale Price 16.1263
Date 05-May-2011

LIC NOMURA MF INTERVAL FUND - QUARTERLY PLAN - SERIES 2 - DIVIDEND OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.1956
Repurchase Price 10.1446
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF INTERVAL FUND - QUARTERLY PLAN - SERIES 2 - GROWTH OPTION

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 12.2523
Repurchase Price 12.1910
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Annual Plan - Series 1 Dividend Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.5167
Repurchase Price 10.3589
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Annual Plan - Series 1 Growth Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 12.2589
Repurchase Price 12.0750
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Monthly Plan Series 1 Dividend Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.0066
Repurchase Price 9.9816
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Monthly Plan Series 1 Growth Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 12.4418
Repurchase Price 12.4107
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Quarterly Plan Series 1 Dividend Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 10.2185
Repurchase Price 10.1674
Sale Price 0.0000
Date 05-May-2011

LIC NOMURA MF Interval Fund Quarterly Plan Series 1 Growth Option

Posted: 04 May 2011 05:00 PM PDT

Category Income
NAV 12.5127
Repurchase Price 12.4501
Sale Price 0.0000
Date 05-May-2011