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This document provides a quarterly statement of the Net Asset Value (NAV) of various insurance schemes offered by Bharti Axa Life Insurance Co. Ltd. as of December 31, 2011, including a summary of
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How to fill out Form L-28 - Ulip NAV - 3A

01
Obtain Form L-28 - Ulip NAV - 3A from the relevant financial authority's website or office.
02
Read the instructions provided on the form carefully to understand the requirements.
03
Fill in your personal details, including name, address, and contact information in the designated sections.
04
Provide your investment details, including the name of the ULIP, policy number, and the NAV you are reporting.
05
Ensure to input the NAV value accurately, referencing the official financial sources if needed.
06
Review the form for any mistakes or missing information before submitting.
07
Sign and date the form at the end to validate your submission.
08
Submit the completed form to the designated financial authority or through their online portal, if available.

Who needs Form L-28 - Ulip NAV - 3A?

01
Those who are policyholders of a Unit Linked Insurance Plan (ULIP) in need of reporting their Net Asset Value (NAV).
02
Financial institutions that need to update or validate the NAV information for ULIP products.
03
Tax professionals or consultants who are assisting clients with ULIP related calculations and reporting.
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Form L-28 - Ulip NAV - 3A is a declaration form utilized by insurance companies to report the Net Asset Value (NAV) of Unit Linked Insurance Plans (ULIPs) on a regular basis.
Insurance companies that offer Unit Linked Insurance Plans (ULIPs) are required to file Form L-28 - Ulip NAV - 3A.
To fill out Form L-28 - Ulip NAV - 3A, the insurance company must provide details such as the fund name, NAV as of a specified date, and the performance of the fund against benchmarks.
The purpose of Form L-28 - Ulip NAV - 3A is to ensure transparency and regulatory compliance by providing detailed information about the Net Asset Values of ULIPs for the benefit of policyholders and regulatory authorities.
The information that must be reported on Form L-28 - Ulip NAV - 3A includes the fund name, NAVs, percentage change in NAV, and comparison with relevant benchmarks.
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