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We stand in solidarity with the families who have lost their loved ones in the floods in Chennai. For any assistance on claims, please call our toll free number 1800 209 8800 or email us at kli.claimsmitra@kotak.com                                                                IRDAI CAUTIONS PUBLIC AGAINST SPURIOUS CALLS AND FICTITIOUS OFFERS
Fund Performance

Fund Performance

Fund Performance

As per IRDA Circular CIR. No.21/IRDA/ACTL/ULIP/OCT 08 dated 27th Oct 2008, Kotak Mahindra Old Mutual Life Insurance Limited has raised the ceiling for investing in money market instruments to 100% in Kotak Guaranteed Growth, Kotak Pension Growth, Kotak Guaranteed Balanced and Kotak Pension Balanced Funds. As a result, the equity holding(s) in these funds may be reduced to 0 %.The revision will provide flexibility to Fund Managers to manage the funds better in times of market volatility.

As per the Guidelines and subsequent Corrigendum issued by IRDAI on 17th August, 2011, the formula for calculation of the NAV has changed with effect from 24th August, 2011. The NAV is now calculated as follows :

Net Asset Value (NAV) = (Market Value of investment(s) held by the fund + Value of Current Assets + Any accrued income net of fund management charges & Service tax thereon - value of Current Liabilities - Provisions). This gives the net asset value of the fund. Dividing by the number of units existing at the valuation date (before any new units are allocated), gives the unit price of the fund under consideration.

To know the fund value of your policy, SMS "NAVL <8 digit policy number>" to 5676788

Change in Valuation of Equity

Presently, in respect of Unit Linked Funds, Valuation of Equity is carried out at lower of the closing price on NSE and BSE for the purpose of computation of daily NAV.

IRDAI vide its circular Ref. IRDA / F&I/INV/CIR/213/10/2013 dated October 30, 2013, stipulated that the Investment Committee of the Insurer shall select from NSE and BSE as Primary and Secondary Exchange and the valuation of equity shares shall be made on the closing price of the Primary Exchange selected. If such security is not listed / not traded on the Primary Exchange, Insurer shall use the closing price of the Secondary Exchange. The selection of the Primary and Secondary Exchange shall be followed consistently. Further, the Insurer shall implement the above, within 30 days of issuance of the circular.

In compliance of the aforesaid circular, the Investment Committee of the Company selected NSE as a Primary Exchange and BSE as a Secondary Exchange.

Accordingly, the closing price of the security on NSE would be considered for valuation of Equity and in case, the security is not listed / not traded on NSE, the closing price on BSE shall be considered for computation of daily NAV ULIP Funds.

The aforesaid change would be made effective from November 28, 2013 onwards.

Unit Values as on February 8, 2016

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Monthly Fund Update

Annual Fund update

Scheme Name Unit Price
Kotak Advantage Multiplier Fund
(ULIF-024-07/02/06-ADVMULFND-107) 
16.5703
Kotak Advantage Plus Fund II
(ULIF-027-21/04/06-ADVPLSFND2-107) 
17.0002
Kotak Guaranteed Growth
(ULIF-013-27/06/03-GRTGWTFND-107) 
47.9653
Kotak Advantage Multiplier Fund II
(ULIF-026-21/04/06-ADVMULFND2-107) 
16.6948
Kotak Guaranteed Balanced
(ULIF-010-27/06/03-GRTBALFND-107) 
41.8492
Kotak Aggressive Growth
(ULIF-018-13/09/04-AGRGWTFND-107) 
53.9427
Kotak Opportunities Fund
(ULIF-029-02/10/08-OPPFND-107) 
32.9699
Kotak Dynamic Growth
(ULIF-012-27/06/03-DYGWTFND-107) 
54.7918
Kotak Dynamic Floor Fund
(ULIF-028-14/11/06-DYFLRFND-107) 
21.7063
Kotak Dynamic Balanced
(ULIF-009-27/06/03-DYBALFND-107) 
47.7905
Kotak Dynamic Bond
(ULIF-015-15/04/04-DYBNDFND-107) 
25.9995
Kotak Dynamic Floating Rate
(ULIF-020-07/12/04-DYFLTRFND-107) 
22.6836
Kotak Dynamic Gilt
(ULIF-006-27/06/03-DYGLTFND-107) 
23.8536
Kotak Pension Balanced
(ULIF-011-27/06/03-PNBALFND-107) 
42.5869
Kotak Pension Bond
(ULIF-017-15/04/04-PNBNDFND-107) 
26.0931
Kotak Pension Floating Rate
(ULIF-022-07/12/04-PNFLTRFND-107) 
22.7586
Kotak Pension Gilt
(ULIF-008-27/06/03-PNGLTFND-107) 
24.2817
Kotak Pension Growth
(ULIF-030-07/01/09-PNGWTFND-107) 
20.3962
Kotak Pension Opportunities Fund
(ULIF-032-17/07/09-PNOPPFND-107) 
18.7899
Kotak Pension Floor Fund
(ULIF-031-13/07/09-PNFLRFND-107) 
13.9260
Kotak Group Balanced
(ULGF-003-27/06/03-BALFND-107) 
48.4692
Kotak Group Floating Rate
(ULGF-005-07/12/04-FLTRFND-107) 
23.6887
Kotak Group Bond
(ULGF-004-15/04/04-BNDFND-107) 
27.5693
Kotak Group Gilt
(ULGF-002-27/06/03-GLTFND-107) 
24.7206
Kotak Group Money Market
(ULGF-001-27/06/03-MNMKFND-107) 
12.2907
Kotak Group Dynamic Floor Fund
(ULGF-015-07/01/10-DYFLRFND-107) 
22.4653
Classic Opportunities Fund
(ULIF-033-16/12/09-CLAOPPFND-107) 
18.5330
Dynamic Floor Fund II
(ULIF-035-17/12/09-DYFLRFND2-107) 
13.9140
Frontline Equity Fund
(ULIF-034-17/12/09-FRLEQUFND-107) 
17.0940
Balanced Fund
(ULIF-037-21/12/09-BALKFND-107) 
16.8958
Pension Guarantee Fund
(ULIF-038-21/12/09-PNGRTFND-107) 
14.0217
Pension Money Market Fund II
(ULIF-039-28/12/09-PNMNMKFND-107) 
15.8791
Money Market Fund
(ULIF-041-05/01/10-MNMKKFND-107) 
15.8481
Pension Classic Opportunities Fund
(ULIF-042-07/01/10-PNCLAOPFND-107) 
18.9911
Pension Floor Fund II
(ULIF-043-08/01/10-PNFLRKFND2-107) 
13.8303
Pension Frontline Equity Fund
(ULIF-044-11/01/10-PNFRLEQFND-107) 
18.0783
Pension Balanced Fund II
(ULIF-046-24/01/10-PNBALFND2-107) 
16.5013
Guarantee Fund
(ULIF-048-05/02/10-GRTFND-107) 
14.7001
Peak Guarantee Fund I
(ULIF-049-14/02/10-PKGRTFND1-107) 
14.0596
Discontinued Policy Fund
(ULIF-050-23/03/11-DISPOLFND-107) 
14.8528
Kotak Group Secure Capital Fund
(ULGF-016-12/04/11-SECCAPFND-107) 
15.3176
Kotak Group 57M FMP 07/04/2016
(ULGF-017-14/07/11-57FM070416-107) 
14.9526
Kotak Group Short Term Bond Fund
(ULGF-018-18/12/13-SHTRMBND-107) 
10.1655

Unit Values will be next updated on February 9, 2016




Policy Account Value as on February 8, 2016

Fund Name Policy Account Value
Kotak Secure Return Employee Benefit Plan
(107N087V01002) 
706,376,440.04
Kotak Secure Return Superannuation Plan
(107N086V01001) 
1,243,155,979.47

Policy Account Value will be next updated on February 9, 2016


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