0 LIKES LikeUnLike
What is Nav of lic money plus today?
Tags:
visit www.licnav.in
Report (0) (0) | earlier
i have money plus policy No. 702734079,702734082
for rs. 10000/- per year. pay in 3 year.
I want to know No. of units in my account & NAV current unit value on the date.
Also allow me to check my account online.
email : deepakoki@yahoo.co.in
i have money plus policy No. 975673246.
for rs. 20000/- per year.
I want to know No. of units in my account & NAv on the date.
email : swan@ambedkar.org
Net asset value (NAV) is a term used to describe the value of an entity’s assets less the value of its liabilities. The term is most commonly used in relation to open-ended or mutual funds due to the fact that shares of such funds registered with the U.S. Securities and Exchange Commission are redeemed at their net asset value. However, the term may also be used as a synonym for book value or the equity value of a business. Net asset value may represent the value of the total equity, or it may be divided by the number of shares outstanding held by investors and, thereby, represent the net asset value per share. for more details please visit http://www.sharemarketinglive.com/?p=74
I HAVE MARKET PLU POLICY NO 784064678 I WANT KNOW CURRNT VALU
money +
Latest activity: earlier. This question has 10 answers.