Plan Name(Number)
Launch Date
Fund
Face Value
NAV as on date
Repurchase Value
Sale Value
FUTURE PLUS (172)
Launch Date:04/03/2005
Balanced
10.00
45.6403
45.6403
45.6403
Bond
10.00
26.7905
26.7905
26.7905
Growth
10.00
61.1411
61.1411
61.1411
Income
10.00
42.3301
42.3301
42.3301
JEEVAN PLUS (173)
Launch Date:18/10/2005
Balanced
10.00
34.2278
34.2278
34.2278
Bond
10.00
32.1727
32.1727
32.1727
Growth
10.00
55.5430
55.5430
55.5430
Secured
10.00
34.8948
34.8948
34.8948
MONEY PLUS (180)
Launch Date:20/12/2006
Balanced
10.00
38.3690
38.3690
38.3690
Bond
10.00
33.2046
33.2046
33.2046
Growth
10.00
26.5924
26.5924
26.5924
Secured
10.00
34.7492
34.7492
34.7492
MARKET PLUS (181)
Launch Date:05/07/2006
Balanced
10.00
41.2604
41.2604
41.2604
Bond
10.00
36.6033
36.6033
36.6033
Growth
10.00
26.9883
26.9883
26.9883
Secured
10.00
42.3126
42.3126
42.3126
FORTUNE PLUS (187)
Launch Date:23/08/2007
Balanced
10.00
28.3217
28.3217
28.3217
Bond
10.00
30.7063
30.7063
30.7063
Growth
10.00
27.3874
27.3874
27.3874
Secured
10.00
33.7824
33.7824
33.7824
PROFIT PLUS (188)
Launch Date:23/08/2007
Balanced
10.00
40.8318
40.8318
40.8318
Bond
10.00
33.2810
33.2810
33.2810
Growth
10.00
25.6215
25.6215
25.6215
Secured
10.00
37.5997
37.5997
37.5997
MARKET PLUS - I (191)
Launch Date:17/06/2008
Balanced
10.00
27.4957
27.4957
27.4957
Bond
10.00
29.1434
29.1434
29.1434
Growth
10.00
33.8096
33.8096
33.8096
Secured
10.00
25.6429
25.6429
25.6429
MONEY PLUS - I (193)
Launch Date:22/05/2008
Balanced
10.00
39.9776
39.9776
39.9776
Bond
10.00
34.4504
34.4504
34.4504
Growth
10.00
39.5611
39.5611
39.5611
Secured
10.00
41.8068
41.8068
41.8068
CHILD FORTUNE PLUS (194)
Launch Date:01/11/2008
Balanced
10.00
36.1933
36.1933
36.1933
Bond
10.00
27.5874
27.5874
27.5874
Growth
10.00
48.1324
48.1324
48.1324
Secured
10.00
40.2573
40.2573
40.2573
JEEVAN SAATHI PLUS (197)
Launch Date:29/06/2009
Balanced
10.00
32.6676
32.6676
32.6676
Bond
10.00
26.3145
26.3145
26.3145
Growth
10.00
30.4661
30.4661
30.4661
Secured
10.00
31.4270
31.4270
31.4270
ENDOWMENT PLUS (802)
Launch Date:20/09/2010
Balanced
10.00
25.8173
25.8173
25.8173
Bond
10.00
24.6981
24.6981
24.6981
Growth
10.00
29.9278
29.9278
29.9278
Secured
10.00
25.0965
25.0965
25.0965
PENSION PLUS (803)
Launch Date:02/09/2010
Debt
10.00
23.1262
23.1262
23.1262
Mixed
10.00
25.6904
25.6904
25.6904
FLEXI PLUS (811)
Launch Date:02/01/2013
Debt_Fund
10.00
20.7511
20.7511
20.7511
Mixed_Fund
10.00
22.1794
22.1794
22.1794
NEW ENDOWMENT PLUS (835)
Launch Date:19/08/2015
Balanced
10.00
19.2871
19.2871
19.2871
Bond
10.00
16.4626
16.4626
16.4626
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
16.2120
16.2120
16.2120
Growth
10.00
19.9384
19.9384
19.9384
Secured
10.00
18.9585
18.9585
18.9585
LIC'S NIVESH PLUS (849)
Launch Date:02/03/2020
Balanced
ULIF003241218LICULIP+BAL512
10.00
13.8114
13.8114
13.8114
Bond
ULIF001241218LICULIP+BND512
10.00
10.6035
10.6035
10.6035
Discontinued Policy Fund
ULIF001201114LICDPFNLIF512
10.00
16.2120
16.2120
16.2120
Growth
ULIF004241218LICULIP+GRW512
10.00
15.8904
15.8904
15.8904
Secured
ULIF002241218LICULIP+SEC512
10.00
12.5533
12.5533
12.5533
HEALTH PLUS (901)
Launch Date:04/02/2008
Health Plus
10.00
30.9534
30.9534
30.9534
HEALTH PROTECTION PLUS (902)
Launch Date:29/04/2009
Health Protection Plus
10.00
27.5779
27.5779
27.5779