NAV (direct) : NA
(NA)NAV (regular) : 27.7115
(27.6891)Lic Mf Government Securities Fund - Provident Fund net asset value or NAV jumped from NA to NA since last working day
Lic Mf Government Securities Fund - Provident Fund direct last 1 year returns is NA%
Lic Mf Government Securities Fund - Provident Fund direct last 3 year returns is NA%
Lic Mf Government Securities Fund - Provident Fund direct last 5 year returns is NA%
Lic Mf Government Securities Fund - Provident Fund direct returns since launch is NA%
Lic Mf Government Securities Fund - Provident Fund asset under management or AUM is 47.61 crores
Lic Mf Government Securities Fund - Provident Fund one year annualised return is NA compared to benchmark I-SEC Composite Index one year annualised return of 8.10