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Date | Fund NAV |
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Income (ULIF 002 04/02/04 TIL 110)
Current Value: 34.2777 (Rs. / unit) as on 29 June 2022
Date | Fund NAV |
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Tata AIA Individual Life Funds
Fund Name | Fund NAV |
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Tata AIA Group Pension Funds
Fund Name | Fund NAV |
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As directed by IRDA (Insurance and Regulatory Development Authority) vide circular no.F&I/INV/CIR/213/10/2013, It has been decided to consider NSE as Primary exchange and BSE as secondary exchange for valuation of equity and equity related instruments. Therefore valuation will be done on the closing price of primary exchange; if security is not traded on primary exchange then closing price of secondary exchange will be considered for valuation.
Please note that IRDA (Insurance Regulatory and Development Authority) has issued a Circular,Cir.No IRDA/FI/CIR/INV/234/10/2011, directing the Insurers to convert various funds offered below fund of funds structure, to individual segregated fund with a unique SFIN (Segregated Fund Identification Number) with identified 'scrips' representing the investments of such segregated funds.
In line with the above, we have converted our fund of funds namely,Tata AIA Life Growth fund and Tata AIA Life Balanced fund into segregated funds having segregated portfolio and NAV. Please note that the above change is effective from 16th December 2011. We also confirm that there is no change in the number of units to the credit of any policyholder on account of this change.
As stipulated by the Insurance and Regulatory Development Authority (IRDA), in its circular dated July 29, 2011 the formula for computation of the Net Asset Value Per Unit (NAV) for Linked funds stands modified.
Old formula as prescribed by IRDA and as contained in the policy document:
Market value of the investment plus / (minus) expenses incurred in the purchase / (sale) of assets plus current assets and accrued interest (net of fund management charges) less current liabilities and provisions, divided by, number of units outstanding under the fund at valuation date (before creation / redemption of units).
Modified formula as stipulated by IRDA effective August 16, 2011:
Market value of the investment held by the fund plus value of current assets less value of current liabilities and provisions, if any and divided by the number of units existing on the valuation date (before creation/redemption of units) The policy document shall accordingly stand modified.
Details of Closed ULIP Funds and Discontinuation of NAV Declaration
Following ULIP Funds (SFIN) stand closed on account of maturity of the policies and withdrawal of the product for sale.
Therefore, the declaration of its daily NAV has been discontinued with effective date mentioned in the below table.
Sr. No. |
Name of Product |
UIN Number |
Sr. No. / ULIP Fund |
Name of ULIP Fund |
SFIN |
Effective Date |
I |
Tata AIA Life Invest Assure Apex |
110L068V01 |
1 |
Apex Investment Fund |
ULIF 031 18/02/09 AIN 110 |
17th September 2021 |
2 |
Apex Return Lock-In Fund |
ULIF 032 18/02/09 ARL 110 |
||||
3 |
Apex Return Lock-In Fund II |
ULIF 033 03/08/09 AR2 110 |
||||
II |
Tata AIA Life Invest Assure Apex Plus |
110L078V01 |
4 |
Apex Plus Investment Fund |
ULIF 046 01/02/10 AP1 110 |
17th September 2021 |
5 |
Apex Plus Return Lock-in Fund |
ULIF 047 01/02/10 RA1 110 |
||||
6 |
Apex Plus Return Lock-in Fund - II |
ULIF 052 01/07/10 RA2 110 |
||||
III |
Tata AIA Life Apex Pension |
110L081V01 |
7 |
Apex Pension Investment Fund |
ULIF 038 20/01/10 PI1 110 |
17th September 2021 |
8 |
Apex pension Return Lock in Fund |
ULIF 042 20/01/10 PR1 110 |
||||
9 |
Apex Pension Return Lock-in Fund – II |
ULIF 048 01/07/10 PR5 110 |
||||
IV |
Tata AIA Life Apex Pension 10 |
110L083V01 |
10 |
Apex Pension 10 Investment Fund |
ULIF 039 20/01/10 PI2 110 |
17th September 2021 |
11 |
Apex Pension 10 Return Lock-in Fund |
ULIF 043 20/01/10 PR2 110 |
||||
12 |
Apex Pension 10 Return Lock-in Fund - II |
ULIF 049 01/07/10 PR6 110 |
||||
V |
Tata AIA Life Insurance Invest Assure Apex Supreme |
110L095V01 |
13 |
Apex Supreme Investment Fund - II |
ULIF 056 01/07/11 SI2 110 |
23rd September 2022 |
14 |
Apex supreme Return lock in fund - II |
ULIF 057 01/07/11 SR2 110 |
||||
15 |
Apex Supreme Investment Fund - III |
ULIF 058 01/11/11 SI3 110 |
||||
16 |
Apex supreme Return lock in fund - III |
ULIF 059 01/11/11 SR3 110 |
||||
VI |
Tata AIA Life Apex Pension 15 |
110L079V01 |
17 |
Apex Pension 15 Return Lock-in Fund |
ULIF 044 20/01/10 PR3 110 |
22nd April 2025 |
18 |
Apex Pension 15 Return Lock-in Fund II |
ULIF 050 01/07/10 PR7 110 |
30th September 2025 |
|||
19 |
Apex Pension 15 Investment Fund |
ULIF 040 20/01/10 PI3 110 |