NPS Transaction Statement For Tier I Account: Current Scheme Preference
NPS Transaction Statement For Tier I Account: Current Scheme Preference
NPS Transaction Statement For Tier I Account: Current Scheme Preference
Investment Summary
Value of your Total Contribution Total Withdrawal Total Notional Withdrawal/
Holdings(Investme No of in your account as as on Gain/Loss as on deduction in units
nts) on towards Return on
Contributions February 29, February 29, Investment
as on February 29, February 29, 2024 (in ₹) 2024 (in ₹) intermediary
2024 (in ₹) 2024 (in ₹) charges (in ₹) (XIRR)
(A) (B) (C) D=(A-B)+C E
Transaction Details
ICICI PRUDENTIAL PENSION ICICI PRUDENTIAL PENSION ICICI PRUDENTIAL PENSION
Withdrawal/ FUND SCHEME E - TIER I FUND SCHEME C - TIER I FUND SCHEME G - TIER I
deduction in units
Date Particulars towards intermediary Amount (₹) Amount (₹) Amount (₹)
charges (₹) Units Units Units
NAV (₹) NAV (₹) NAV (₹)
01-Apr- Opening balance 0.0000 0.0000 0.0000
2023
27-Dec- 171.45 22.86 34.29
By Contribution 2.8577 0.6019 1.0532
2023 59.9944 37.9782 32.5563
06-Jan- (38.83) (5.12) (7.67)
Billing for Q3, 2023-2024 (51.62) (0.6399) (0.1345) (0.2360)
2024 60.6745 38.0414 32.4914
09-Jan- 723.45 96.46 144.69
By Voluntary Contributions 11.9969 2.5353 4.4354
2024 60.3026 38.0467 32.6211
08-Feb- 3,723.45 496.46 744.69
By Voluntary Contributions 60.1712 12.9137 22.3075
2024 61.8809 38.4442 33.3828
29-Feb- Closing Balance 74.3859 15.9164 27.5601
2024
Notes
1.The 'Investment Details' section gives an overall status of the total contribution processed under the account and the returns accrued
2.'Notional Gain / Loss' indicates the overall gain or loss after factoring for the withdrawals processed in the account.
3.Returns based on Inflows' gives the annualized effective compounded return rate in PRAN account and is calculated using the formula of XIRR. The
calculation is done considering all the contribution / redemptions processed in PRAN account since inception and the latest valuation of the
investments. The transactions are sorted based on the NAV date.
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