NAV of ULIPs is not the final value of your investments as it doesn't factor-in expenses
20-Sep-2013 •Research Desk
What is the present status of LIC Market Plus 181 and LIC Market Plus 191 Policies?
Annette Fonseca
LIC has withdrawn its Market Plus 181 and 191 plans from sale to new customers. These are unit linked deferred pension plans which offered four kinds of funds for investment- balanced, bond, growth and secured. LIC declares Net Asset Value (NAV) of these funds on a daily basis. There NAV as on September 18, 2013 is given below.
You can also check daily NAV of these funds on LIC website under 'Plan NAV' section. NAV will only tell you how the funds have performed. It does not factor-in applicable charges and bonuses declared by your policy. It is not a complete indicator of how your policy is doing. To know the current value of your policies, you should contact LIC's office with policy number and personal details.
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