
| LIC’s Growth Fund NAVs | ||
| Fund Name | NAV | Date |
| Future Plus | 22.99 | 31/05/2012 |
| Jeevan Plus | 21.55 | 31/05/2012 |
| Money Plus | 10.81 | 31/05/2012 |
| Market Plus | 13.72 | 31/05/2012 |
| Fortune Plus | 10.87 | 31/05/2012 |
| Profit Plus | 10.32 | 31/05/2012 |
| Market Plus – 1 | 12.76 | 31/05/2012 |
| Money Plus – 1 | 13.28 | 31/05/2012 |
| Child Fortune + | 14.61 | 31/05/2012 |
| Jeevan Saathi + | 10.62 | 31/05/2012 |
| Weatlh + | 9.31 | 31/05/2012 |
| Endowment + | 9.67 | 31/05/2012 |
| Pension + | 10.31 | 31/05/2012 |
| Smridhi + | 9.99 | 31/05/2012 |
* Source LIC of India website www.licindia.in