Lic Nav (Net Asset Value)
The Lic NAV is the value based on which the net rate of returns on ULIPs that are provided by the Lic of India. Net asset value (NAV) is the value of an entity’s assets minus the value of its liabilities, often in relation to open-end or mutual funds, since shares of such funds registered with the U.S. Securities and Exchange Commission are redeemed at their net asset value. This may also be the same as the book value or the equity value of a business. Net asset value may represent the value of the total equity, or it may be divided by the number of shares outstanding held by investors, thereby representing the net asset value per share.
NAV = (Market Value of All Securities Held by Fund + Cash and Equivalent Holdings – Fund Liabilities) / Total Fund Shares Outstanding.
Here you can get Lic ULIP Plans Nav value (Net Asset Value). Lic NAV for the day is displayed for the users Convenience. You can also get the information about lic nav of the day,lic nav history,lic nav value and lic nav rates which are very beneficial to the people.
Here we Provide Lic Nav value for Bima Plus, Future Plus, Jeevan Plus, Money Plus, Market Plus, Fortune Plus, Profit Plus, Money Plus-1, Market Plus-1, Child Fortune Plus, Jeevan Sathi Plus, wealth Plus, Endowment Plus, Pension Plus, Samridhi Plus, Flexi Plus, Health Plus, Health Protection Plus.
Life insurance Corporation Nav value displayed below is Latest lic Nav Value.