Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Launch Date
Mar 31, 1993Monthly SIP
10,000Total Installments
316Total Investment
31.60 LakhsMarket Value
5.95 CrSIP Returns
18.22%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Growth NAV
12.50Launch Date
Dec 30, 2019AUM
614 Cr.Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
17.17%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%Dividend NAV
11.50AUM
8,747 Cr.Launch Date
Jan 18, 2007Fund Manager
Rohit SinghaniaDividend History
Since Inception
14.81%LIC MF Tax Plan Quarterly | |||||
---|---|---|---|---|---|
Record Date | Gross Dividend per unit (Rs.) | Dividend Yield (%) | Face Value | Record Date NAV | Annual Dividend Yield (%) |
29-Jun-21 | 1.18 | 1.18 | 10.00 | 21.14 | 2.50 |
26-Mar-21 | 10.25 | 1.18 | 10.00 | 0.25 | |
29-Jun-21 | 1.18 | 1.18 | 10.00 | 21.14 | 2.50 |
26-Mar-21 | 10.25 | 1.18 | 10.00 | 0.25 | |
26-Mar-21 | 10.25 | 1.18 | 10.00 | 0.25 | |
29-Jun-21 | 1.18 | 1.18 | 10.00 | 21.14 | 2.50 |
26-Mar-21 | 10.25 | 1.18 | 10.00 | 0.25 | |
29-Jun-21 | 1.18 | 1.18 | 10.00 | 21.14 | 2.50 |
26-Mar-21 | 10.25 | 1.18 | 10.00 | 0.25 |
DISCLAIMER : Investors are advised to go through the financial reports of the company and prospectus before investment. We do not assure in any manner what so ever, timely payment of your investments or interest / dividend / gain there on. Mutual Fund investment is subject to market risk. Read all documents carefully before investing