IN ULIPS, THE INVESTMENT RISK IN THE INVESTMENT PORTFOLIO IS BORNE BY THE POLICYHOLDER

Potential to maximise your investments
with life cover to protect your family

Premium starts at 2,500 per month`

Check your returns :

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    Date of Birth
    35 years
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Show Returns
7.85 Lakhs
@ 4% p.a.
12.41 Lakhs
@ 8% p.a.
Returns shown are non-guaranteed and at 4% and 8% as per IRDAI guidelines. Click to see actual fund performance
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4 REASONS TO INVEST IN ICICI PRU LIFE TIME CLASSIC

  • 4 PORTFOLIO STRATEGIES1

    You can choose from 4 portfolio strategies according to your investment styles to accomplish financial goals.

  • Financial Protection

    On death of policyholder, nominee gets life cover and prevailing fund value as a lump sum payout.

  • Tax Benefits#

    Get tax benefits on premiums you pay under Section 80C of Income Tax Act, 1961.

FUNDS PERFORMANCE

Fund & Benchmark Details Type of fund Returns as on April 30, 2018(p.a.) Returns as on April 30, 2018(p.a.) Inception Date
1 Year 2 Year 3 Year 4 Year 5 Year Since Inception
Maximiser V Equity 13.38% 14.69% 8.55% 13.63% 14.58% 14.29% August 29, 2011
Multi Cap Growth Fund Equity 13.42% 18.57% 12.86% 19.02% 16.94% 12.45% November 24, 2009
Opportunities Fund Equity 14.33% 17.09% 10.71% 16.68% 15.70% 11.21% November 24, 2009
Bluechip Fund Equity 13.34% 15.92% 9.89% 14.54% 13.68% 9.07% November 24, 2009
Maximise India Fund Equity NA NA NA NA NA NA February 23, 2015
Value Enhancer Fund Equity NA NA NA NA NA NA July 11, 2018
Focus 50 Fund Equity NA NA NA NA NA NA --
India Growth Fund Equity NA NA NA NA NA NA February 23, 2015
Balanced Advantage Fund Equity NA NA NA NA NA NA August 31, 2021
Sustainable Equity Fund Equity NA NA NA NA NA NA -
Mid Cap Fund Equity NA NA NA NA NA NA -
Mid Cap Index Fund Equity NA NA NA NA NA NA --
Mid Cap Hybrid Growth Fund Balanced NA NA NA NA NA NA -
Multi Cap Balanced Fund Balanced 9.75% 13.55% 9.91% 13.83% 13.28% 10.29% November 24, 2009
Active Asset Allocation
Balanced Fund
Balanced NA NA NA NA NA 8.48% June 12, 2017
Income Fund Debt 4.11% 7.21% 7.31% 8.89% 8.01% 8.37% November 24, 2009
Money Market Fund Debt 6.06% 6.60% 7.05% 7.49% 7.75% 7.87% November 24, 2009
Secure Opportunities Fund Debt NA NA NA NA NA NA July 11, 2018
Constant Maturity Fund Debt NA NA NA NA NA NA January 05, 2023
Returns (As on ). Past performance is not indicative of future performance