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JK GPF Rules Samvat 1981 – Amendment

JK GPF Rules Samvat 1981 – Amendment

GOVERNMENT OF JAMMU AND KASHMIR
FINANCE DEPARTMENT
Civil Secretariat, Jammu/Srinagar

Notification,

Srinagar, the 30th May, 2018

SRO 241 :- In exercise of the powers conferred by proviso to section 124 of the Constitution of the Jammu and Kashmir, the Governor is pleased to direct that the following amendment shall be made in the General Provident Fund Rules, Samvat, 1981; namely:-

Also Read : GPF Interest Rates

“In Rule 11-B:-

(3) in clause (a) of sub rule (ii) , for the words, figures and sign “Rs 4,000, Rs 3,000 and Rs 1,000,” the words, figures and sign ” Rs 20,000, Rs 15,000 and Rs 5,000″ respectively shall be substituted.

(4) in clause (b) of sub-rule (ii) for the words, figures and sign “Rs 10,000″ wherever appearing, the words, figures and sign Rs 50,000 shall be substituted.”

By order of the Government of Jammu and Kashmir.

Sd/-
(Navin K.Choudhary), IAS,
Principal Secretary to Government,
Finance Department.

Signed copy

 

GPF Interest Calculator 2018

 

Annual Medical Checkup for the JK Government Employees

Annual Medical Checkup for the JK Government Employees

Expression of Interest

The State Government invites Expression of Interest (EOI) from all the private hospitals/nursing homes/ diagnostic labs located in the State and registered with the State Government for the implementation of the Annual Medical Check up (AMC) Scheme for the State Government employees. Under AMCS, all the Government employees will mandatorily undergo medical check up once in a year at the AMCS designated hospitals/nursing homes/diagnostic labs. The regime of medical tests under AMCS shall be as provided under CGSH (which can be downloaded from the website namely: www.cghs.gov.in) at the following rates:

1. Annual medical examination of male officers/officials – Rs 2000/-
2. Annual medical examination of female officers/officials – Rs 2200/-

Interested and resourceful private hospitals/nursing homes/diagnostic labs, which can provide the annual medical check up facility at the above rates may indicate their acceptance to the Government in the Finance Department by or before 12th June, 2018 at the following address:

Additional Secretary to the Government
Finance Department
Room No.549, 5th Floor, Civil Secretariat
Srinagar.

No.FD/JI/2018/GB C/268
Dated: 31/05/2018

(Mohammad Amin Shah)
Under Secretary to the Government Finance Department

Signed Copy

Pension Scheme Net Asset Value (NAV) – June 2018

Pension Scheme NAV – June 2018

Check the below link to find the Pension Scheme Net Asset Value (NAV) as on 1st June 2018.

PENSION SCHEME NAV – 1st JUNE 2018
Birla Sun Life Pension Scheme
HDFC Pension Scheme
ICICI Prudential Pension Fund Scheme
Kotak Pension Fund Scheme
LIC Pension Fund Scheme
Reliance Pension Fund Scheme
SBI Pension Fund Scheme
UTI Retirement Pension Fund Scheme

UTI Retirement Pension Fund Scheme NAV – June 2018

UTI Retirement Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM002001 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME- CENTRAL GOVT 25.1479
2 1/6/2018 SM002002 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME- STATE GOVT 22.3859
3 1/6/2018 SM002003 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME E – TIER I 27.8516
4 1/6/2018 SM002004 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME C – TIER I 22.0698
5 1/6/2018 SM002005 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME G – TIER I 20.08
6 1/6/2018 SM002006 UTI RETIREMENT SOLUTIONS SCHEME E – TIER II 22.5732
7 1/6/2018 SM002007 UTI RETIREMENT SOLUTIONS SCHEME C – TIER II 21.1159
8 1/6/2018 SM002008 UTI RETIREMENT SOLUTIONS SCHEME G – TIER II 20.6128
9 1/6/2018 SM002009 NPS TRUST A/C-UTI RETIREMENT SOLUTIONS LIMITED- NPS LITE SCHEME – GOVT. PATTERN 20.8761
10 1/6/2018 SM002010 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME – CORPORATE-CG 10
11 1/6/2018 SM002011 NPS TRUST – A/C UTI RETIREMENT SOLUTIONS LTD. SCHEME – ATAL PENSION YOJANA (APY) 12.8257
12 1/6/2018 SM002012 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME A – TIER I 11.1144
13 1/6/2018 SM002013 UTI RETIREMENT SOLUTIONS PENSION FUND SCHEME A – TIER II 10

SBI Pension Fund Scheme NAV – June 2018

SBI Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM001001 SBI PENSION FUND SCHEME – CENTRAL GOVT 25.8908
2 1/6/2018 SM001002 SBI PENSION FUND SCHEME – STATE GOVT 22.2294
3 1/6/2018 SM001003 SBI PENSION FUND SCHEME E – TIER I 23.8403
4 1/6/2018 SM001004 SBI PENSION FUND SCHEME C – TIER I 24.3777
5 1/6/2018 SM001005 SBI PENSION FUND SCHEME G – TIER I 22.2956
6 1/6/2018 SM001006 SBI PENSION FUND SCHEME E – TIER II 21.9839
7 1/6/2018 SM001007 SBI PENSION FUND SCHEME C – TIER II 22.3136
8 1/6/2018 SM001008 SBI PENSION FUND SCHEME G – TIER II 21.2922
9 1/6/2018 SM001009 NPS TRUST A/C-SBI PENSION FUNDS PRIVATE LIMITED- NPS LITE SCHEME – GOVT. PATTERN 21.0244
10 1/6/2018 SM001010 SBI PENSION FUNDS PVT. LTD. SCHEME – CORPORATE-CG 16.4969
11 1/6/2018 SM001011 NPS TRUST – A/C SBI PENSION FUND SCHEME – ATAL PENSION YOJANA (APY) 12.4791
12 1/6/2018 SM001012 SBI PENSION FUND SCHEME A – TIER I 11.1321
13 1/6/2018 SM001013 SBI PENSION FUND SCHEME A – TIER II 20

Reliance Pension Fund Scheme NAV – June 2018

Reliance Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM006001 RELIANCE PENSION FUND SCHEME E – TIER I 25.3714
2 1/6/2018 SM006002 RELIANCE PENSION FUND SCHEME C – TIER I 21.9533
3 1/6/2018 SM006003 RELIANCE PENSION FUND SCHEME G – TIER I 20.0808
4 1/6/2018 SM006004 RELIANCE PENSION FUND SCHEME E – TIER II 21.7345
5 1/6/2018 SM006005 RELIANCE PENSION FUND SCHEME C – TIER II 20.4508
6 1/6/2018 SM006006 RELIANCE PENSION FUND SCHEME G – TIER II 19.5099
7 1/6/2018 SM006007 NPS TRUST A/C-RELIANCE CAPITAL PENSION FUND LIMITED- NPS LITE SCHEME – GOVT. PATTERN 10
8 1/6/2018 SM006008 RELIANCE PENSION FUND SCHEME A – TIER I 11.0217
9 1/6/2018 SM006009 RELIANCE PENSION FUND SCHEME A – TIER II 10

LIC Pension Fund Scheme NAV – June 2018

LIC Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM003001 LIC PENSION FUND SCHEME – CENTRAL GOVT 25.2057
2 1/6/2018 SM003002 LIC PENSION FUND SCHEME – STATE GOVT 22.513
3 1/6/2018 SM003003 NPS TRUST A/C-LIC PENSION FUND LIMITED- NPS LITE SCHEME – GOVT. PATTERN 20.7759
4 1/6/2018 SM003004 LIC PENSION FUND LIMITED SCHEME – CORPORATE-CG 16.5217
5 1/6/2018 SM003005 LIC PENSION FUND SCHEME E – TIER I 18.1779
6 1/6/2018 SM003006 LIC PENSION FUND SCHEME C – TIER I 15.7429
7 1/6/2018 SM003007 LIC PENSION FUND SCHEME G – TIER I 16.1875
8 1/6/2018 SM003008 LIC PENSION FUND SCHEME E – TIER II 15.1219
9 1/6/2018 SM003009 LIC PENSION FUND SCHEME C – TIER II 14.737
10 1/6/2018 SM003010 LIC PENSION FUND SCHEME G – TIER II 16.228
11 1/6/2018 SM003011 NPS TRUST – A/C LIC PENSION FUND SCHEME – ATAL PENSION YOJANA (APY) 12.7384
12 1/6/2018 SM003012 LIC PENSION FUND SCHEME A – TIER I 11.0667
13 1/6/2018 SM003013 LIC PENSION FUND SCHEME A – TIER II 10

Kotak Pension Fund Scheme NAV – June 2018

Kotak Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM005001 KOTAK PENSION FUND SCHEME E – TIER I 25.8141
2 1/6/2018 SM005002 KOTAK PENSION FUND SCHEME C – TIER I 24.2681
3 1/6/2018 SM005003 KOTAK PENSION FUND SCHEME G – TIER I 20.4625
4 1/6/2018 SM005004 KOTAK PENSION FUND SCHEME E – TIER II 22.8252
5 1/6/2018 SM005005 KOTAK PENSION FUND SCHEME C – TIER II 20.8194
6 1/6/2018 SM005006 KOTAK PENSION FUND SCHEME G – TIER II 19.2416
7 1/6/2018 SM005007 NPS TRUST A/C-KOTAK MAHINDRA PENSION FUND LIMITED- NPS LITE SCHEME – GOVT. PATTERN 18.3514
8 1/6/2018 SM005008 KOTAK PENSION FUND SCHEME A – TIER I 11.048
9 1/6/2018 SM005009 KOTAK PENSION FUND SCHEME A – TIER II 10

ICICI Prudential Pension Fund Scheme NAV – June 2018

ICICI Prudential Pension Fund Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM007001 ICICI PRUDENTIAL PENSION FUND SCHEME E – TIER I 27.851
2 1/6/2018 SM007002 ICICI PRUDENTIAL PENSION FUND SCHEME C – TIER I 24.3885
3 1/6/2018 SM007003 ICICI PRUDENTIAL PENSION FUND SCHEME G – TIER I 20.686
4 1/6/2018 SM007004 ICICI PRUDENTIAL PENSION FUND SCHEME E – TIER II 21.9681
5 1/6/2018 SM007005 ICICI PRUDENTIAL PENSION FUND SCHEME C – TIER II 22.7038
6 1/6/2018 SM007006 ICICI PRUDENTIAL PENSION FUND SCHEME G – TIER II 19.8369
7 1/6/2018 SM007007 NPS TRUST A/C-ICICI PRUDENTIAL PENSION FUNDS MANAGEMENT COMPANY LIMITED- NPS LITE SCHEME – GOVT. PATTERN 10
8 1/6/2018 SM007008 ICICI PRUDENTIAL PENSION FUND SCHEME A – TIER I 10.9757
9 1/6/2018 SM007009 ICICI PRUDENTIAL PENSION FUND SCHEME A – TIER II 10

HDFC Pension Scheme NAV – June 2018

HDFC Pension Scheme NAV – June 2018

SNo. Date (dd-mm-yyyy) Scheme ID Scheme Name NAV
1 1/6/2018 SM008001 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME E – TIER I 20.6764
2 1/6/2018 SM008002 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME C – TIER I 15.8184
3 1/6/2018 SM008003 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME G – TIER I 15.2678
4 1/6/2018 SM008004 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME E – TIER II 17.896
5 1/6/2018 SM008005 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME C – TIER II 14.9451
6 1/6/2018 SM008006 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME G – TIER II 15.6116
7 1/6/2018 SM008007 NPS TRUST A/C-HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME – NPS LITE SCHEME – GOVT. PATTERN 10
8 1/6/2018 SM008008 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME A – TIER I 11.2284
9 1/6/2018 SM008009 HDFC PENSION MANAGEMENT COMPANY LIMITED SCHEME A – TIER II 10

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