Current NAV
₹10.0555
▼ 0.02% (1D)
As on 03-06-2026
Returns based on historical NAV data
| Period | Returns | Type |
|---|---|---|
| 1 Month | +0.14% | Absolute |
| 3 Months | +0.01% | Absolute |
| 6 Months | +0.03% | Absolute |
| 1 Year | -0.1% | CAGR |
| 3 Years | -0.02% | CAGR |
| 5 Years | +0.11% | CAGR |
LIC MF Banking & PSU Fund-Direct Plan-Weekly IDCW is managed by LIC Mutual Fund. It is classified as a Open Ended Schemes scheme under the Debt Scheme - Banking and PSU Fund category.
The fund's current Net Asset Value (NAV) is ₹10.0555 as of 03-06-2026. NAV represents the per-unit market value of the fund and is calculated at the end of each business day.
Over the past year, the fund has delivered a return of -0.1% (CAGR). The 5-year annualized return stands at +0.11%.
See how your monthly SIP in this fund would have performed historically.
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