Jadhav Pushpa P

Saturday, February 20, 2010

[16] “NAV OF LIC’S MARKET PLUS - I AS ON 31.12.2009”


[16] “NAV OF LIC’S MARKET PLUS - I AS ON 31.12.2009”

Observations (From the Graph) :
I) NAV of Growth Fund is higher than other funds i.e. Bond, Secured & Balanced Fund.
II) NAV of all the Funds are higher than Basic Net Asset Value i.e. Rs. 10 on launching date.
III) NAV of Bond Fund is lower than all the Fund
IV) NAV of Growth Fund is higher because the values of equities in share market increases

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