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LIC MF Banking & PSU Fund-Direct Plan-Weekly IDCW

LIC Mutual FundOpen Ended SchemesDebt Scheme - Banking and PSU Fund

Current NAV

10.0578

0.11% (1D)

As on 12-06-2026

NAV History

Performance

Returns based on historical NAV data

PeriodReturnsType
1 Month+0.07%Absolute
3 Months+0.16%Absolute
6 Months+0.23%Absolute
1 Year+0.21%CAGR
3 Years+0.03%CAGR
5 Years+0.09%CAGR
* Returns above 1 year are annualized (CAGR). Below 1 year are absolute returns.

About LIC MF Banking & PSU Fund-Direct Plan-Weekly IDCW

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 10.0578 as of 12-06-2026. 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 +0.21% (CAGR). The 5-year annualized return stands at +0.09%.

Fund Details

  • Fund HouseLIC Mutual Fund
  • Scheme TypeOpen Ended Schemes
  • CategoryDebt Scheme - Banking and PSU Fund
  • Scheme Code120336
  • ISIN (Growth)INF767K01GL8
  • ISIN (Div.)INF767K01GO2

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Disclaimer: Mutual Fund investments are subject to market risks, read all scheme related documents carefully. The NAV and returns shown are historical and do not guarantee future performance.