» Nav History

Nav History

LIC MF Equity Hybrid Fund - (G) - Scheme Profile

Fund

Fund House : LIC Mutual Fund

Fund Class : Hybrid - Equity Oriented

NAV 24 Apr 91.89 -1.31
(-1.41%)
Date Nav(Rs)
20-02-2020 112.21
19-02-2020 112.43
18-02-2020 111.60
17-02-2020 111.86
14-02-2020 112.28
13-02-2020 112.80
12-02-2020 113.09
11-02-2020 112.32
10-02-2020 112.39
07-02-2020 112.74
06-02-2020 112.60
05-02-2020 112.35
04-02-2020 111.70
03-02-2020 110.29
31-01-2020 111.25
30-01-2020 111.64
29-01-2020 112.21
28-01-2020 111.92
27-01-2020 111.97
24-01-2020 112.49