SBI PENSION FUND SCHEME - CENTRAL GOVT - 24.5764 as on 13-01-2017 || SBI PENSION FUND SCHEME - STATE GOVT - 21.1836 as on 13-01-2017 || SBI PENSION FUND SCHEME E - TIER I - 18.9953 as on 13-01-2017 || SBI PENSION FUND SCHEME C - TIER I - 23.2799 as on 13-01-2017 || SBI PENSION FUND SCHEME G - TIER I - 21.9613 as on 13-01-2017 || SBI PENSION FUND SCHEME E - TIER II - 17.4836 as on 13-01-2017 || SBI PENSION FUND SCHEME C - TIER II - 21.3215 as on 13-01-2017 || SBI PENSION FUND SCHEME G - TIER II - 21.0156 as on 13-01-2017 || NPS TRUST A/C-SBI PENSION FUNDS PRIVATE LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 19.9071 as on 13-01-2017 || SBI PENSION FUNDS PVT. LTD. SCHEME - CORPORATE-CG - 15.6973 as on 13-01-2017 || NPS TRUST - A/C SBI PENSION FUND SCHEME - ATAL PENSION YOJANA (APY) - 11.8689 as on 13-01-2017 || SBI PENSION FUND SCHEME A - TIER I - 10.1507 as on 13-01-2017 || SBI PENSION FUND SCHEME A - TIER II - 10.1279 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME- CENTRAL GOVT - 23.6993 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME- STATE GOVT - 21.1776 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME E - TIER I - 21.8182 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME C - TIER I - 21.093 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME G - TIER I - 19.9951 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS SCHEME E - TIER II - 17.6674 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS SCHEME C - TIER II - 20.1353 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS SCHEME G - TIER II - 20.4493 as on 13-01-2017 || NPS TRUST A/C-UTI RETIREMENT SOLUTIONS LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 19.6658 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME - CORPORATE-CG - 10 as on 13-01-2017 || NPS TRUST - A/C UTI RETIREMENT SOLUTIONS LTD. SCHEME - ATAL PENSION YOJANA (APY) - 12.1766 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME A - TIER I - 10.1413 as on 13-01-2017 || UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME A - TIER II - 10.1437 as on 13-01-2017 || LIC PENSION FUND SCHEME - CENTRAL GOVT - 23.9158 as on 13-01-2017 || LIC PENSION FUND SCHEME - STATE GOVT - 21.3988 as on 13-01-2017 || NPS TRUST A/C-LIC PENSION FUND LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 19.6701 as on 13-01-2017 || LIC PENSION FUND LIMITED SCHEME - CORPORATE-CG - 15.8264 as on 13-01-2017 || LIC PENSION FUND SCHEME E - TIER I - 14.8663 as on 13-01-2017 || LIC PENSION FUND SCHEME C - TIER I - 15.1386 as on 13-01-2017 || LIC PENSION FUND SCHEME G - TIER I - 15.6675 as on 13-01-2017 || LIC PENSION FUND SCHEME E - TIER II - 12.5506 as on 13-01-2017 || LIC PENSION FUND SCHEME C - TIER II - 14.241 as on 13-01-2017 || LIC PENSION FUND SCHEME G - TIER II - 15.7135 as on 13-01-2017 || NPS TRUST - A/C LIC PENSION FUND SCHEME - ATAL PENSION YOJANA (APY) - 12.1785 as on 13-01-2017 || LIC PENSION FUND SCHEME A - TIER I - 10.1128 as on 13-01-2017 || LIC PENSION FUND SCHEME A - TIER II - 10.0049 as on 13-01-2017 || KOTAK PENSION FUND SCHEME E - TIER I - 20.3896 as on 13-01-2017 || KOTAK PENSION FUND SCHEME C - TIER I - 23.1754 as on 13-01-2017 || KOTAK PENSION FUND SCHEME G - TIER I - 20.3135 as on 13-01-2017 || KOTAK PENSION FUND SCHEME E - TIER II - 18.0378 as on 13-01-2017 || KOTAK PENSION FUND SCHEME C - TIER II - 19.9543 as on 13-01-2017 || KOTAK PENSION FUND SCHEME G - TIER II - 19.0283 as on 13-01-2017 || NPS TRUST A/C-KOTAK MAHINDRA PENSION FUND LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 17.2837 as on 13-01-2017 || KOTAK PENSION FUND SCHEME A - TIER I - 10.0794 as on 13-01-2017 || KOTAK PENSION FUND SCHEME A - TIER II - 10.0841 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME E - TIER I - 20.7127 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME C - TIER I - 20.8031 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME G - TIER I - 19.8146 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME E - TIER II - 17.6677 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME C - TIER II - 19.3545 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME G - TIER II - 19.2485 as on 13-01-2017 || NPS TRUST A/C-RELIANCE CAPITAL PENSION FUND LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 10 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME A - TIER I - 10.0566 as on 13-01-2017 || RELIANCE PENSION FUND SCHEME A - TIER II - 10.003 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME E - TIER I - 22.126 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME C - TIER I - 23.2008 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME G - TIER I - 20.4216 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME E - TIER II - 17.4308 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME C - TIER II - 21.6148 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME G - TIER II - 19.582 as on 13-01-2017 || NPS TRUST A/C-ICICI PRUDENTIAL PENSION FUNDS MANAGEMENT COMPANY LIMITED- NPS LITE SCHEME - GOVT. PATTERN - 10 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME A - TIER I - 10.0956 as on 13-01-2017 || ICICI PRUDENTIAL PENSION FUND SCHEME A - TIER II - 10.0926 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME E - TIER I - 16.1095 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME C - TIER I - 15.0721 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME G - TIER I - 15.13 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME E - TIER II - 13.9227 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME C - TIER II - 14.2172 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME G - TIER II - 15.475 as on 13-01-2017 || NPS TRUST A/C-HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME - NPS LITE SCHEME - GOVT. PATTERN - 10 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME A - TIER I - 10.145 as on 13-01-2017 || HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME A - TIER II - 10.0679 as on 13-01-2017

Login

Entities in NPS
Entities in the System
NPS Architecture for All Citizens of India Sector
Pension Fund Managers

Pension Fund Managers are appointed by PFRDA to maintain the Pension contribution of all subscribers through various schemes offered by PFM. Subscribers will have the option to invest their contributions into one or more schemes of the PFMs. The PFMs will responsible for providing the Net Asset Value of the Schemes offered to the CRA. PFMs will allot units based on NAV as applicable.

Trustee Bank

NPS Trust formed by PFRDA would be responsible for taking care of the funds under the NPS. The Trust would hold an account with the Trustee Bank appointed by PFRDA. The Trustee Bank upon receiving credits from Nodal offices would transmit the information to CRA for reconciliation. The Trustee Bank shall remit fund to the entities viz. PFMs, ASPs and subscribers on receipt of instructions from CRA.

For details : click here

Annuity Service Providers

Annuity Service Providers (ASPs) are be appointed by PFRDA to maintain the annuity contribution of subscribers through their various schemes. Subscribers will have the option to invest their amount into one annuity scheme upon retirement/resignation. ASPs would be responsible for delivering a regular monthly pension (annuity) to the subscriber for the rest of his/her life.

Currently, 07 Annuity Service Providers have been appointed :

  1. Bajaj Allianz Life Insurance Co. Ltd.
  2. HDFC Life Insurance Co. Limited
  3. ICICI Prudential Life Insurance Co. Ltd.
  4. Life Insurance Corporation of India
  5. Reliance Life Insurance Co. Ltd.
  6. SBI Life Insurance Co. Ltd.
  7. Star Union Dai-ichi Life Insurance Co. Ltd.

for details click here...