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Annual Investment Report (2013 – 2014)
NAV / Fund Value as on 27-NOV-2014*
 
SchemeNAV(Rs.)
Monthly Guaranteed Fund 
Monthly Interest Account : SFIN Code - ULIF04511/01/08MIA135

Interest Rate Declared for NOV-2014 is 8 % Annualized
Track Interest Rates declared in the past
16.7097
Market Linked Fund 
Bond Fund - Pension : SFIN Code - ULIF05719/02/09BONDPEN13514.5682
Bond Fund : SFIN Code - ULIF04011/01/08BOND13514.3836
Equity Growth Fund - Pension : SFIN Code - ULIF05419/02/09EQOPPPEN13532.1683
Equity Growth Fund : SFIN Code - ULIF04111/01/08EQOPP13522.2414
Income Fund - Pension : SFIN Code - ULIF05619/02/09INCOMEPEN13515.1414
Income Fund : SFIN Code - ULIF04211/01/08INCOME13516.8466
Liquid Fund - Pension : SFIN Code - ULIF05819/02/09LIQUIDPEN13514.7252
Liquid Fund : SFIN Code - ULIF04311/01/08LIQUID13515.7605
Midcap Fund - Pension : SFIN Code - ULIF06924/11/09MIDCAPPEN13521.5902
Midcap Fund : SFIN Code - ULIF06824/11/09MIDCAP13522.2554
Nifty Index Fund - Pension : SFIN Code - ULIF05519/02/09NINDEXPEN13526.3242
Nifty Index Fund : SFIN Code - ULIF04411/01/08NINDEX13516.5412
Pure Fund : SFIN Code - ULIF07205/08/10PURE13514.4085
Guaranteed Return Fund 
Guaranteed Growth Fund 19711121 - Pension (Minimum Guaranteed NAV of Rs.19.71 on November 30,2021) : SFIN Code - ULIF07403/01/11GGFPEN13513.2059
Guaranteed Return Fund 19000619 (Minimum Guaranteed NAV of Rs.19 on June 30, 2019, Closed for Sale effective October 05, 2009) : SFIN Code - ULIF05911/01/08GRF313514.2672
Guaranteed Return Fund 20001219 (Minimum Guaranteed NAV of Rs.20.00 on December 31,2019) : SFIN Code - ULIF06211/01/08GRF513514.2224
Guaranteed Return Fund 20001219 - Pension (Minimum Guaranteed NAV of Rs.20.00 on December 31,2019) : SFIN Code - ULIF06724/11/09GRF5PEN13514.1453
Discontinued Fund 
Discontinued Policy Fund : SFIN Code - ULIF07301/07/10DISCON13512.9480
Capital Guaranteed Fund 
Dynamic Guaranteed Fund 01101214 - Life (Closed for Sale effective June 30, 2010 ; Redemption Date 31-Dec-2014) : SFIN Code - ULIF06424/11/09DGF13512.4301
Dynamic Guaranteed Fund 01101214 - Pension(Closed for Sale effective June 30, 2010 ; Redemption Date 31-Dec-2014) : SFIN Code - ULIF06524/11/09DGFPEN13512.2997
Dynamic Guaranteed Fund 07100615 - Life : SFIN Code - ULIF07024/11/09DGF213512.2170
Dynamic Guaranteed Fund 07100615 - Pension : SFIN Code - ULIF07124/11/09DGF2PEN13512.2080
MaxiNAV Guaranteed Fund - 06110522 : SFIN Code - ULIF07503/03/11MAXIGAIN13513.7530
Asset Allocator Fund 
Aggressive Asset Allocator Fund : SFIN Code - ULIF04811/01/08AGGRESSIVE13520.9363
Cautious Asset Allocator Fund : SFIN Code - ULIF05011/01/08CAUTIOUS13516.8209
Moderate Asset Allocator Fund : SFIN Code - ULIF04911/01/08MODERATE13518.1372
SAIN-wise Reconciliation 
Retiresurance Group Insurance Plan : UIN 135N030V01 SAIN: IFLICL135N030V01001 As on 27th November 201425,086,856.19
*Last published NAV
Disclaimers – Nifty Index Fund

Actual Asset Mix as on September 30, 2014
Latest interest rates on the Government Of India Securities (G-Sec) – For Incomesurance TM Endowment & Money Back Plan.

Latest interest rates on the Government Of India Securities (G-Sec) – For Retiresurance Guaranteed® Pension Plan.

Surrender value factors as a percentage of the total amount of premiums paid for the entire premium payment term for Loansurance

Change in Fund Mandates





Modification in Equity Valuation

In terms of IRDA circular no. IRDA/F&I/INV/CIR/213/10/2013 dated 30/10/2013, the valuation of the equity shares shall be made on the closing price of the Primary Exchange, where the securities are not listed on the Primary Exchange, the Company shall use closing price available on the Secondary Exchange. For this purpose National Stock Exchange (NSE) is the Primary Exchange and Bombay Stock Exchange (BSE) is the Secondary Exchange.

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