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As stipulated by IRDA, the Net Asset Value (NAV) computation formula for Linked Funds stands modified effective August 18, 2011
 
"We wish to intimate all our policyholders that pursuant to the Insurance Regulatory and Development Authority circular dated 29th July 2011 the formula for computation of the Net Asset Value Per Unit (NAV) for Linked funds stands modified as under:
 
Old Formula: (As prescribed by IRDA and as Stated in the policy document)
 
The basis used for calculation of NAV would be the Appropriation Price and Expropriation Price.
 
The Appropriation Price shall apply in a situation when the company is required to purchase the assets to allocate the units at the valuation date
 
The Expropriation Price shall apply in a situation when the company is required to sell assets to redeem the units at the valuation date.
 
The NAV per unit of each Investment Fund will be calculated as per the prevailing IRDA guidelines mentioned below
 
When Appropriation Price is applied: The NAV shall be computed as:
 
(Market Value of Investments held by the fund + The Expenses incurred in Purchase of the Assets + Value of Any Current Assets + Any Accrued Income Net of Fund Management Charges - Value of any Current Liabilities - provisions, if any)
 
Divided by the number of units existing at valuation date (before any new units are allocated)
 
When Expropriation Price is applied: The NAV shall be computed as:
 
(Market Value of Investments held by the fund - The Expenses incurred in Sale of the Assets + Value of Any Current Assets + Any Accrued Income Net of Fund Management Charges - Value of any Current Liabilities - provisions, if any)
 
Divided by the number of units existing at valuation date (before any new units are allocated)
 
Modified Formula: (As stipulated by IRDA effective August 18, 2011)
 
(Market Value of Investments held by the fund + Value of Any Current Assets - Value of any Current Liabilities & Provisions, if any)
 
Divided by the number of units existing at valuation date (before creation or redemption of any units)
 
Please note that the above change is effective 18th August 2011 and all the policy contracts issued by us (linked funds) stands modified to the above extent.
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Insurance Dictionary

Birla Sun Life Insurance

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Daily NAV's


Assure Fund 20.0078
ULIF01008/07/05BSLIASSURE109
Income Advantage Fund 17.4214
ULIF01507/08/08BSLIINCADV109
Protector Fund 27.2986
ULIF00313/03/01BSLPROTECT109
Builder Fund 33.7174
ULIF00113/03/01BSLBUILDER109
Balancer Fund 21.5847
ULIF00931/05/05BSLBALANCE109
Enhancer Fund 39.9204
ULIF00213/03/01BSLENHANCE109
Creator Fund 30.4104
ULIF00704/02/04BSLCREATOR109
Magnifier Fund 29.9911
ULIF00826/06/04BSLIIMAGNI109
Maximiser Fund 15.0578
ULIF01101/06/07BSLIINMAXI109
Multiplier Fund 12.5353
ULIF01217/10/07BSLINMULTI109
Super 20 Fund 15.3282
ULIF01723/06/09BSLSUPER20109
Platinum Plus Fund - 1 12.7376
ULIF01325/02/08BSLIIPLAT1109
Platinum Plus Fund - 2 18.1205
ULIF01425/02/08BSLIIPLAT2109
Platinum Plus Fund - 3 13.9694
ULIF01628/04/09BSLIIPLAT3109
Platinum Plus Fund - 4 12.43
ULIF01816/09/09BSLIIPLAT4109
Platinum Premier Fund 12.3214
ULIF02203/02/10BSLPLATPR1109
Platinum Advantage Fund 10.5685
ULIF02408/09/10BSLPLATADV109
Pension Nourish Fund 22.8166
ULIF00604/03/03BSLNOURISH109
Pension Growth Fund 27.7309
ULIF00504/03/03BSLIGROWTH109
Pension Enrich Fund 32.0395
ULIF00404/03/03BSLIENRICH109
Titanium Fund - 1 12.249
ULIF01911/12/09BSLITITAN1109
Titanium Fund - 2 11.9996
ULIF02011/12/09BSLITITAN2109
Titanium Fund - 3 11.0095
ULIF02111/12/09BSLITITAN3109
FORESIGHT - 5 PAY 11.1849
ULIF02510/02/11BSLFSIT5P1109
FORESIGHT - SINGLE PAY 11.4671
ULIF02610/02/11BSLFSITSP1109
Pure Equity Fund 11.7345
ULIF02707/10/11BSLIPUREEQ109
Value Momentum Fund 11.1063
ULIF02907/10/11BSLIVALUEM109
Liquid Plus Fund 10.9048
ULIF02807/10/11BSLLIQPLUS109
Discontinued Policy Fund 12.0357
ULIF02301/07/10BSLIDISCPF109