] “NAV OF LIC’S PROFIT PLUS AS ON 30.06.2009

k Observations (From the Graph) :
I) NAV of Bond Fund is higher than other funds i.e. Secured, Balanced and Growth Fund.
II) NAV of Bond Fund is higher than Basic Net Asset Value i.e. Rs. 10 on launching date.
III) NAV of Secured and Balanced Fund are higher than Growth Fund
IV) An NAV of Growth Fund falls down than Basic Net Asset Value i.e. Rs. 10 on launching date as the investment is much more in equities, but at that time share market falls down and the values of most of equities in which investment is made also falls down
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