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FORM L28ULIPNAV3A Company Name & Code: PART C Statement for the period: Link to FORM 3A (Part B) Periodicity of Submission: Quarterly (Rs. In Lakhs) No. Assets held on the above date Name of the Scheme
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Form l-28-ulip-nav-3a is a report form specifically designed for ULIP (Unit Linked Insurance Plan) companies to disclose their NAV (Net Asset Value) details.
ULIP companies are required to file form l-28-ulip-nav-3a to regulatory authorities.
Form l-28-ulip-nav-3a can be filled out electronically or manually as per the instructions provided by the regulatory authorities.
The purpose of form l-28-ulip-nav-3a is to provide transparency in the NAV reporting of ULIP companies.
Form l-28-ulip-nav-3a requires details on the NAV calculation methodology, assets under management, and other relevant financial information.
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