Price in Rs.
Plan Name NAV Subscription Redemption NAV Date
L&T Infrastructure Fund
L&T Infrastructure Fund- Dividend Option 5.4800 5.4800 5.4800 16-05-2012
L&T Infrastructure Fund- Cumulative Option 5.4800 5.4800 5.4800 16-05-2012
L&T Tax Saver Fund
L&T Tax Saver Fund-Cumulative Option 13.0000 13.0000 13.0000 16-05-2012
L&T Tax Saver Fund-Dividend Option 11.1400 11.1400 11.1400 16-05-2012
L&T Contra Fund
L&T Contra Fund-Cumulative Option 9.0000 9.0000 9.0000 16-05-2012
L&T Contra Fund-Dividend Option 9.0000 9.0000 9.0000 16-05-2012
L&T Fixed Maturity Plan - I - September 24M A
L&T Fixed Maturity Plan – I - September 24M A -Dividend Payout 11.3376 0.0000 0.0000 16-05-2012
L&T Fixed Maturity Plan – I - September 24M A - Growth 11.3376 0.0000 0.0000 16-05-2012
L&T Floating Rate Fund
L&T Floating Rate Fund - Monthly Dividend 10.7622 10.7622 10.7622 16-05-2012
L&T Floating Rate Fund - Weekly Dividend Reinvestment 12.2230 12.2230 12.2230 16-05-2012
L&T Floating Rate Fund - Daily Dividend Reinvestment 10.8591 10.8591 10.8591 16-05-2012
L&T Floating Rate Fund - Cumulative 15.7787 15.7787 15.7787 16-05-2012
L&T FMP - IV (August91D A)
L&T FMP – IV (August91D A) - Growth 10.2215 0.0000 10.2215 08-11-2011
L&T FMP – IV (August91D A) - Dividend Payout 10.0000 0.0000 10.0000 08-11-2011
L&T FMP - V (December366D A)
L&T FMP - V (December366D A) - Dividend Payout 10.2953 0.0000 0.0000 16-05-2012
L&T FMP - V (December366D A) - Growth 10.2953 0.0000 0.0000 16-05-2012
L&T FMP - V (December368D A)
L&T FMP - V (December368D A) - Growth 10.3671 0.0000 0.0000 16-05-2012
L&T FMP - V (December368D A) - Dividend Payout 10.3671 0.0000 0.0000 16-05-2012
L&T FMP - V (December90D A)
L&T FMP - V (December90D A) - Growth 10.2326 0.0000 10.2326 19-03-2012
L&T FMP - V (December90D A) - Dividend Payout 10.0000 0.0000 10.0000 19-03-2012
L&T FMP - V (February368D A)
L&T FMP - V (February368D A) - Dividend Payout 10.2403 0.0000 0.0000 16-05-2012
L&T FMP - V (February368D A) - Growth 10.2403 0.0000 0.0000 16-05-2012
L&T FMP - V (February90D A)
L&T FMP - V (February90D A) - Dividend Payout 10.0000 0.0000 10.0000 14-05-2012
L&T FMP - V (February90D A) - Growth 10.2468 0.0000 10.2468 14-05-2012
L&T FMP - V (March367D A)
L&T FMP - V (March367D A) - Growth 10.2374 0.0000 0.0000 16-05-2012
L&T FMP - V (March367D A) - Dividend Payout 10.2374 0.0000 0.0000 16-05-2012
L&T FMP - V (March395D A)
L&T FMP - V (March395D A) - Dividend Payout 10.2178 0.0000 0.0000 16-05-2012
L&T FMP - V (March395D A) - Growth 10.2178 0.0000 0.0000 16-05-2012
L&T FMP - V (November90D B)
L&T FMP - V (November90D B) - Growth 10.2321 0.0000 10.2321 29-02-2012
L&T FMP - V (November90D B) - Dividend Payout 10.0000 0.0000 10.0000 29-02-2012
L&T FMP - VI (April90D A)
L&T FMP - VI (April90D A) - Growth 10.0358 0.0000 0.0000 16-05-2012
L&T FMP - VI (April90D A) - Dividend Payout 10.0358 0.0000 0.0000 16-05-2012
L&T FMP - VI (Macrh371D A)
L&T FMP - VI (March371D A) - Dividend Payout 10.1559 0.0000 0.0000 16-05-2012
L&T FMP - VI (March371D A) - Growth 10.1559 0.0000 0.0000 16-05-2012
L&T FMP – II (December370D A)
L&T FM P- II (December 370D A) – Growth 10.9214 0.0000 10.9214 26-12-2011
L&T FM P- II (December 370D A) – Div (Payout) 10.0000 0.0000 10.0000 26-12-2011
L&T FMP – II (January15M A)
L&T Fixed Maturity Plan – II - January 15M A - Growth 11.1931 0.0000 11.1931 02-05-2012
L&T Fixed Maturity Plan – II - January 15M A -Dividend Payout 10.0000 0.0000 10.0000 02-05-2012
L&T FMP – II (November12M A)
L&T FMP – II (November12M A)-Growth 10.8487 0.0000 10.8487 14-11-2011
L&T FMP – II (November12M A)-Dividend Payout 10.0000 0.0000 10.0000 14-11-2011
L&T FMP – III (April370D A)
L&T Fixed Maturity Plan – III - April 370D A -Growth 10.0000 0.0000 10.0000 09-05-2012
L&T Fixed Maturity Plan – III - April 370D A -Dividend Payout 10.9659 0.0000 10.9659 09-05-2012
L&T FMP – III (February366D A)
L&T Fixed Maturity Plan – III - February 366D A -Growth 10.9891 0.0000 0.0000 02-03-2012
L&T Fixed Maturity Plan – III - February 366D A -Dividend Payout 10.9891 0.0000 0.0000 02-03-2012
L&T FMP – III (January369D A)
L&T Fixed Maturity Plan – III - January 369D A -Growth 10.9819 0.0000 10.9819 13-02-2012
L&T Fixed Maturity Plan – III - January 369D A -Dividend Payout 10.0000 0.0000 10.0000 13-02-2012
L&T FMP – III (June366D A)
L&T FMP – III (June366D A) - Growth 10.8799 0.0000 0.0000 16-05-2012
L&T FMP – III (June366D A) - Dividend Payout 10.8799 0.0000 0.0000 16-05-2012
L&T FMP – III (March366D A)
L&T Fixed Maturity Plan – III - March 366D A -Dividend Payout 10.0000 0.0000 10.0000 21-03-2012
L&T Fixed Maturity Plan – III - March 366D A -Growth 10.9938 0.0000 10.9938 21-03-2012
L&T FMP – IV (July24M A)
L&T FMP - IV (July24M A) - Growth 10.6879 0.0000 0.0000 16-05-2012
L&T FMP - IV (July24M A) - Dividend Payout 10.6879 0.0000 0.0000 16-05-2012
L&T FMP – IV (June367D A)
L&T FMP – IV (June367D A) - Growth 10.8187 0.0000 0.0000 16-05-2012
L&T FMP – IV (June367D A) - Dividend Payout 10.8187 0.0000 0.0000 16-05-2012
L&T FMP – IV (September367D A)
L&T FMP – IV (September367D A) - Growth 10.5788 0.0000 0.0000 16-05-2012
L&T FMP – IV (September367D A) - Dividend Payout 10.5788 0.0000 0.0000 16-05-2012
L&T FMP – IV (September91D A)
L&T FMP – IV (September91D A) - Dividend Payout 10.0000 0.0000 10.0000 20-12-2011
L&T FMP – IV (September91D A) - Growth 10.2272 0.0000 10.2272 20-12-2011
L&T FMP – V (November90D A)
L&T FMP - V (November90D A) - Growth 10.2283 0.0000 10.2283 14-02-2012
L&T FMP - V (November90D A) - Dividend Payout 10.0000 0.0000 10.0000 14-02-2012
L&T Gilt Fund
L&T Gilt-Investment(Cumulative) 24.1073 24.1073 24.1073 16-05-2012
L&T Gilt-Investment(Quarterly Dividend) 11.1722 11.1722 11.1722 16-05-2012
L&T Growth Fund
L&T Growth Fund-Cumulative 35.0500 35.0500 35.0500 16-05-2012
L&T Growth Fund-Quarterly Dividend 16.5900 16.5900 16.5900 16-05-2012
L&T Hedged Equity Fund
L&T Hedged Equity Fund - Cumulative Option 11.7500 11.7500 11.7500 16-05-2012
L&T Hedged Equity Fund - Dividend Option 8.3400 8.3400 8.3400 16-05-2012
L&T Liquid Fund
L&T Liquid Fund-Cum -Super Institutional 1490.5855 1490.5855 1490.5855 16-05-2012
L&T Liquid Fund-Cum -Institutional Plus 2184.0387 2184.0387 2184.0387 16-05-2012
L&T Liquid Fund-Daily Dividend Reinvestment Plan 1011.6349 1011.6349 1011.6349 16-05-2012
L&T Liquid Fund-Regular Cumulative 2138.6904 2138.6904 2138.6904 16-05-2012
L&T Liquid Fund - Institutional Plus Weekly Dividend 1422.2262 1422.2262 1422.2262 16-05-2012
L&T Liquid Fund - Regular Weekly Dividend 1198.7732 1198.7732 1198.7732 16-05-2012
L&T Midcap Fund
L&T Mid Cap Fund-Cumulative 35.0600 35.0600 35.0600 16-05-2012
L&T Mid Cap Fund-Dividend 17.8100 17.8100 17.8100 16-05-2012
L&T MIP-Wealth Builder Fund
L&T MIP - Wealth Builder Fund - Growth 10.1214 10.1214 10.1214 16-05-2012
L&T MIP - Wealth Builder Fund - Quarterly Dividend 10.1214 10.1214 10.1214 16-05-2012
L&T MIP - Wealth Builder Fund - Monthly Dividend 10.1214 10.1214 10.1214 16-05-2012
L&T Monthly Income Plan
L&T Monthly Income Plan -Regular - Quarterly Dividend Plan 11.3404 11.3404 11.3404 16-05-2012
L&T Monthly Income Plan - Regular -Monthly Dividend Plan 11.1891 11.1891 11.1891 16-05-2012
L&T Monthly Income Plan -Regular - Cumulative Plan 20.7208 20.7208 20.7208 16-05-2012
L&T Opportunities Fund
L&T Opportunities Fund-Cumulative 36.0100 36.0100 36.0100 16-05-2012
L&T Opportunities Fund-Regular Quarterly Dividend 14.1800 14.1800 14.1800 16-05-2012
L&T Select Income Fund
L&T Select Income Fund - Flexi Debt - Inst Growth 12.1824 12.1824 12.1824 16-05-2012
L&T Select Income Fund-Flexi Debt - Inst Dividend 10.4637 10.4637 10.4637 16-05-2012
L&T Select Income Fund - Flexi Debt - Retail Bonus 12.0432 12.0432 12.0432 16-05-2012
L&T Select Income Fund - Flexi Debt - Retail Qtly Dividend 10.5940 10.5940 10.5940 16-05-2012
L&T Select Income Fund - Flexi Debt - Retail Cumulative 12.0433 12.0433 12.0433 16-05-2012
L&T Select Income Fund - Flexi Debt - Retail Dividend 10.3273 10.3273 10.3273 16-05-2012
L&T Short Term Debt Fund
L&T Short Term Debt Fund - Growth 10.3557 10.3557 10.3557 16-05-2012
L&T Short Term Debt Fund - Quarterly Dividend 10.3557 10.3557 10.3557 16-05-2012
L&T Short Term Debt Fund - Monthly Dividend 10.3557 10.3557 10.3557 16-05-2012
L&T Short Term Debt Fund - Bonus 10.3557 10.3557 10.3557 16-05-2012
L&T Tax Advantage Fund - Series I
L&T Tax Advantage Fund- Series I - Dividend Option 11.0900 0.0000 11.0900 16-05-2012
L&T Tax Advantage Fund- Series I - Cumulative Option 17.4600 0.0000 17.4600 16-05-2012
L&T Triple Ace Fund
L&T Triple Ace - Regular Bonus Plan 16.2972 16.2972 16.2972 16-05-2012
L&T Triple Ace-Semi Annual Dividend 12.2551 12.2551 12.2551 16-05-2012
L&T Triple Ace-Regular - Quarterly Dividend 11.5504 11.5504 11.5504 16-05-2012
L&T Triple Ace-Regular -Cumulative 28.6027 28.6027 28.6027 16-05-2012
L&T Ultra Short Term Fund
L&T Ultra Short Term Fund Regular - Semi Annual Dividend 13.4851 13.4851 13.4851 16-05-2012
L&T Ultra Short Term Fund - Institutional Monthly Dividend 12.0871 12.0871 12.0871 16-05-2012
L&T Ultra Short Term Fund - Institutional Plan - Daily Dividend Reinvestment Plan 10.1552 10.1552 10.1552 16-05-2012
L&T Ultra Short Term Fund -Weekly Dividend 10.3392 10.3392 10.3392 28-03-2012
L&T Ultra Short Term Fund - Cum- Institutional Plan 17.5571 17.5571 17.5571 16-05-2012
L&T Ultra Short Term Fund - Regular - Cumulative 17.1620 17.1620 17.1620 16-05-2012
L&T Ultra Short Term Fund - Regular - Monthly Dividend 11.6139 11.6139 11.6139 16-05-2012