HOME
Customer Care
Contact Us
Procedure for Account Opening
About Us
Services
EQUITY
COMMODITIES
MUTUAL FUNDS
DERIVATIVES
CURRENCY
INSURANCE
IPOs
Margin
E-Voting
BSE Prices delayed by 5 minutes...
<< Prices as on Oct 03, 2025 >>
ABB
5182.35
[-0.30]
ACC
1849.35
[1.10]
AMBUJA CEM
575.75
[0.87]
ASIAN PAINTS
2358.3
[0.97]
AXIS BANK
1181.7
[1.92]
BAJAJ AUTO
8685.75
[0.78]
BANKOFBARODA
263.95
[1.66]
BHARTI AIRTE
1895.6
[1.51]
BHEL
244.4
[1.77]
BPCL
341.4
[0.46]
BRITANIAINDS
5999.3
[0.58]
CIPLA
1515.65
[0.12]
COAL INDIA
383.35
[-1.45]
COLGATEPALMO
2214.4
[-0.47]
DABUR INDIA
496.05
[0.20]
DLF
729.1
[0.93]
DRREDDYSLAB
1248.1
[0.15]
GAIL
177.4
[1.57]
GRASIM INDS
2797.75
[0.19]
HCLTECHNOLOG
1393.25
[0.27]
HDFC BANK
964.75
[-0.05]
HEROMOTOCORP
5550.7
[2.23]
HIND.UNILEV
2544.3
[0.34]
HINDALCO
780.25
[1.85]
ICICI BANK
1365
[-0.51]
INDIANHOTELS
724.7
[0.21]
INDUSINDBANK
747.55
[0.52]
INFOSYS
1446.55
[0.06]
ITC LTD
404.35
[-0.32]
JINDALSTLPOW
1076.15
[1.16]
KOTAK BANK
2100.9
[1.84]
L&T
3732.35
[1.69]
LUPIN
1972
[-0.49]
MAH&MAH
3461.65
[-0.04]
MARUTI SUZUK
15805.45
[-1.04]
MTNL
43.54
[1.04]
NESTLE
1169.7
[0.30]
NIIT
109.45
[3.79]
NMDC
77.15
[1.33]
NTPC
341.9
[0.51]
ONGC
243.65
[0.25]
PNB
114.45
[1.69]
POWER GRID
289.6
[3.15]
RIL
1363.45
[-0.39]
SBI
867.05
[0.35]
SESA GOA
470.8
[1.30]
SHIPPINGCORP
228.65
[2.42]
SUNPHRMINDS
1634.05
[-0.13]
TATA CHEM
925.3
[0.83]
TATA GLOBAL
1137
[-0.57]
TATA MOTORS
716
[-0.30]
TATA STEEL
173.2
[3.40]
TATAPOWERCOM
394.85
[0.98]
TCS
2902.15
[-0.41]
TECH MAHINDR
1400.75
[-1.11]
ULTRATECHCEM
12014.9
[-0.86]
UNITED SPIRI
1364.55
[1.33]
WIPRO
241.05
[0.02]
ZEETELEFILMS
113.9
[-0.31]
Fund Profile
Scheme Profile
Scheme Snapshot
Scheme Performance
Category Performance
Performance Map
Portfolio Compare
MF Gainers
MF Losers
Historical NAV
Latest NAVs
Best Performers
Biggest Schemes
MF Activity
New Fund
Portfolio Allocation
Dividend Details
Fund Mobilization
Performance Compare
Category Rankings
Rolling Returns
MF Portfolio
MF News
MF Bonus
MF Disclosures
Search Scheme
NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
LIC MF Banking & PSU Fund - Direct Plan
Fund :
LIC Mutual Fund
Category :
Debt - Income
Type :
Open Ended
NAV(
03/10/2025
)
38.2066
Percentage Returns :
1 Month Ago :
0.84%
3 Months Ago :
1.09%
1 Year Ago :
8.38%
Choose Option :
Daily IDCW Reinvestment
Growth
IDCW-Daily
IDCW-Monthly
IDCW-Weekly
Monthly IDCW Reinvestment
Weekly IDCW Reinvestment
2025
2024
2023
2022
2021
2025
Open :
35.78
Close :
38.21
Return(%) :
6.79
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
35.7771
36.0249
0.69
February
36.0712
36.1319
0.16
March
36.1270
36.6764
1.52
April
36.8333
37.2454
1.11
May
37.2547
37.7010
1.19
June
37.7239
37.6832
-0.10
July
37.7086
37.9102
0.53
August
37.9245
37.8571
-0.17
September
37.8534
38.1164
0.69
October
38.1611
38.2066
0.11
January
35.7771
36.0249
0.69
February
36.0712
36.1319
0.16
March
36.1270
36.6764
1.52
April
36.8333
37.2454
1.11
May
37.2547
37.7010
1.19
June
37.7239
37.6832
-0.10
July
37.7086
37.9102
0.53
August
37.9245
37.8571
-0.17
September
37.8534
38.1164
0.69
October
38.1611
38.2066
0.11
January
35.7771
36.0249
0.69
February
36.0712
36.1319
0.16
March
36.1270
36.6764
1.52
April
36.8333
37.2454
1.11
May
37.2547
37.7010
1.19
June
37.7239
37.6832
-0.10
July
37.7086
37.9102
0.53
August
37.9245
37.8571
-0.17
September
37.8534
38.1164
0.69
October
38.1611
38.2066
0.11
January
35.7771
36.0249
0.69
February
36.0712
36.1319
0.16
March
36.1270
36.6764
1.52
April
36.8333
37.2454
1.11
May
37.2547
37.7010
1.19
June
37.7239
37.6832
-0.10
July
37.7086
37.9102
0.53
August
37.9245
37.8571
-0.17
September
37.8534
38.1164
0.69
October
38.1611
38.2066
0.11
January
35.7771
36.0249
0.69
February
36.0712
36.1319
0.16
March
36.1270
36.6764
1.52
April
36.8333
37.2454
1.11
May
37.2547
37.7010
1.19
June
37.7239
37.6832
-0.10
July
37.7086
37.9102
0.53
August
37.9245
37.8571
-0.17
September
37.8534
38.1164
0.69
October
38.1611
38.2066
0.11