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FORM NL-1-B-RA REVENUE ACCOUNT FOR THE PERIOD ENDING 31ST MARCH, 2017 SN Particulars Schedule For the quarter Up to the Quarter For the Up to the corresponding Quarter of the quarter of the preceding preceding year year 01.01.2016 to 01.04.2015 to 31.03.2016 31.03.2016 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 (Rs. 000) 1 Premium Earned (Net) NL-4-Premium Schedule 4069622 20029820 3820412 18622304 2 Profit/Loss on Sale/Redemption of Investments (10656) 1850 (82) 8489 3 Accretion of Discount on Investment 24736 46461 4915 31400 4 Recovery of Co insurance Administrative Charges (141556) 0 0 0 5 Interest, Dividend & Rent -Gross 672891 2681865 650649 2357575 1 Claims Incurred (Net) NL-5-Claims Schedule 2 Commission NL-6- Commission Schedule 3 Operating Expenses related to Insurance Business NL-7-Operating Expenses Schedule TOTAL (A) 4615037 22759996 4475894 21019768 9798002 23992172 3401690 18559422 (1595537) (5944947) (632614) (1496038) 412717 1666674 373413 1159009 4 Premium Deficiency 0 0 0 (216747) 5 Bank Interest 0 38546 0 705 6 Expenses related to Investments : a) Amortization of Premium on Investments 6514 21036 2647 10328 b) Bank Charges 0 4 7 14 c) Stock Holding Charges 164 1375 251 1374 d) Other Expenses 3 33 10 81 TOTAL (B) 8621863 19774893 3145404 18018148 Operating Profit from Crop Insurance Business C=(A-B) (4006826) 2985103 1330490 3001620 APPROPRIATIONS Transfer to Shareholders' Account (4006826) 2985103 1330490 3001620 Transfer to Catastrophe Reserve 0 0 0 0 Transfer to Other Reserves 0 0 0 0 TOTAL (4006826) 2985103 1330490 3001620

FORM NL-2-B-PL PROFIT AND LOSS ACCOUNT FOR THE PERIOD ENDING 31ST MARCH, 2017 SN Particulars Schedule For the quarter 01.01.2017 to 31.03.2017 Up to the Quarter 01.04.2016 to 31.03.2017 For the corresponding quarter of the preceding year 01.01.2016 to 31.03.2016 Up to the Quarter of the preceding year 01.04.2015 to 31.03.2016 (Rs. 000) 1 OPERATING PROFIT/(LOSS) (a) Fire Insurance (b) Marine Insurance (c) Misc. Insurance-Crop Insurance (4006826) 2985103 1330490 3001620 2 INCOME FROM INVESTMENTS a) Interest, Dividend & Rent Gross 472359 1886081 470569 1705068 b) Profit on sale/redemption of investments (7494) 1301 (59) 6140 c) Accretion of Discount on Investment 18262 32675 3554 22709 3 OTHER INCOME 0 a) Miscellaneous Receipts 12025 22882 1583 5575 b) Profit on Sale of Assets 63 63 0 0 c) Income from administration of outgoing Coinsurance Business 143232 143232 0 0 d) Prior Period Income 0 0 8705 8705 TOTAL (A) (3368379) 5071337 1814842 4749817 4 PROVISIONS (Other than taxation) a) For diminution in the value of investments 0 0 0 0 b) Provision for standard asset 44172 41628 20329 22835 5 OTHER EXPENSES a) Expenses other than those related to Insurance Business i) Amortisation of Premium on Investments 4581 14794 1914 7469 ii) Stock Holding Charges 115 967 182 994 iii) Bank Interest & Charges 0 3 5 10 iv) Other investment related expenses 2 23 6 58 b) Bad debts written off 0 0 0 0 c) Others 0 0 0 0 i) Loss on Sale of Assets 43 3170 95 213 ii) Prior Period Expenses (1) 32 6 9 iii) Wealth Tax 0 0 0 (41) iv) Corporate Social Responsibility 110429 139889 64730 71953 v) Others 0 5 10000 10000 TOTAL (B) 159341 200511 97267 113500 Profit Before Tax C= (A-B) (3527720) 4870826 1717575 4636317 PROVISION FOR TAXATION a) Income Tax (Current Year) (1253969) 1652600 572082 1582200 b) Income Tax (pertaining to earlier years) 0 0 0 0 c) Deferred Tax (19455) (19455) (15251) (15251) (1273424) 1633145 556831 1566949 Profit After Tax (D) (2254296) 3237681 1160744 3069368 APPROPRIATIONS a) Proposed final dividend 0 0 0 0 b) Dividend distribution tax 0 0 0 0 c) Transfer to any Reserves or Other Accounts (2254296) 3237681 1160744 3069368 Balance of profit/ loss brought forward from last 0 0 0 0 year Balance carried forward to Balance Sheet (2254296) 3237681 1160744 3069368

SOURCES OF FUNDS Share Capital Share Application Money Pending allotment Reserves and Surplus Current Year 01.04.2016 to 31.03.2017 Previous Year 01.04.2015 to 31.03.2016 NL-8-Share Capital Schedule 2000000 2000000 x NL-10-Reserves and Surplus Schedule 27672613 24434932 Fair Value Change Account 96522 (176831) Deferred Tax Liability (net) 0 19370 Borrowings NL-11-Borrowings Schedule 0 0 APPLICATION OF FUNDS FORM NL-3-B-BS Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 BALANCE SHEET AS AT 31ST MARCH, 2017 Particulars Schedule (Rs. 000) TOTAL 29769135 26277471 Investments NL-12-Investment 74875207 61052170 Schedule Loans NL-13-Loans Schedule 49029 37832 Fixed Assets NL-14-Fixed Assets 1048278 574487 Schedule Deferred Tax Asset (net) 86 0 Current Assets Cash and Bank Balances NL-15-Cash and bank 12702509 3614944 balance Schedule Advances and Other Assets NL-16-Advances and Other Assets Schedule 28653769 10257730 Sub-Total (a) 41356278 13872674 Current Liabilities NL-17-Current 78306748 37707648 Liabilities Schedule Provisions NL-18-Provisions Schedule 9252995 11552044 Deferred Tax Liability (net) 0 0 Sub-Total (B) 87559743 49259692 NET CURRENT ASSETS (C) = (A - B) (46203465) (35387018) Miscellaneous Expenditure (To the extent not NL-19-Miscellaneous 0 0 written off or adjusted) Expenditure Schedule Debit Balance in Profit and Loss Account 0 0 TOTAL 29769135 26277471 Contingent Liabilities Claims, other than against policies, not acknowledged as debts by the Company 0 0

FORM NL- 4 PREMIUM SCHEDULE PREMIUM EARNED (NET) FOR THE PERIOD ENDING 31ST MARCH, 2017 Particulars For the quarter Up to the Quarter For the corresponding quarter of the preceding year Up to the Quarter of the preceding year Premium from direct business written (Net of Service Tax) Add: Premium on reinsurance accepted 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2015 to 31.03.2016 18662049 69795611 8291343 35212219-293 87022 0 0 Less : Premium on reinsurance ceded 14526274 52103463 4200266 12931749 Net Premium 4135482 17779170 4091077 22280470 Adjustment for change in reserve for unexpired risks (65860) 2250650 (270665) (3658166) Premium Earned (Net) 4069622 20029820 3820412 18622304

FORM NL-5 CLAIMS SCHEDULE CLAIMS INCURRED [NET] FOR THE PERIOD ENDING 31ST MARCH, 2017 Particulars For the quarter Up to the Quarter For the corresponding quarter of the preceding year Up to the Quarter of the preceding year 01.01.2017 to 31.03.2017 01.04.2016 to 01.01.2016 to 01.04.2015 to 31.03.2017 31.03.2016 31.03.2016 Claims paid 3842720 27609536 5730371 29295792 Add: Reinsurance Accepted 39440 60194 0 0 Less:Reinsurance Ceded 1949986 10706931 2636746 12815754 Net Claims paid 1932174 16962799 3093625 16480038 Add Claims Outstanding at the end of the current year 25735841 108486297 2664782 52326983 Add: Reinsurance Accepted (39909) 16393 0 0 Less: Reinsurance Ceded 17830104 74783270 2356718 25636936 Net Claims Outstanding at the end of Current year 7865828 33719420 308064 26690047 Less Claims Outstanding at the end of the previous of the year 0 52326983 0 50135763 Add: Reinsurance Accepted 0 0 0 0 Less: Reinsurance Ceded 0 25636936 1 25525100 Net Claims Outstanding at the end of the previous year 0 26690047 (1) 24610663 Gross Incurred Claims 29578560 83768850 8395153 31487012 Add :Re-insurance accepted to direct claims (468) 76587 0 0 Less :Re-insurance Ceded to claims paid 19780090 59853265 4993463 12927590 Total Claims Incurred 9798002 23992172 3401690 18559422

FORM NL-6 COMMISSION SCHEDULE COMMISSION FOR THE PERIOD ENDING 31ST MARCH, 2017 in Rs. '000 Particulars For the quarter Up to the Quarter For the corresponding quarter of the preceding year Up to the Quarter of the preceding year 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2015 to 31.03.2016 Commission paid Direct 32563 33247 4141 8642 Add: Re-insurance Accepted (72) 21293 0 0 Less: Commission on Re-insurance Ceded 1628028 5999487 636755 1504680 Net Commission (1595537) (5944947) (632614) (1496038) Break-up of the expenses (Gross) incurred to procure business to be furnished as per details indicated below: Agents 0 0 0 0 Brokers 26366 26656 2905 3764 Corporate Agency 0 0 0 0 Others: 0 (i) Micro Insurance Agents/NGO's etc 5192 5372 373 1765 (ii) Reimbursement to GIPSA Companies (Coinsurance-Tie Up) 1005 1219 863 3113 (iii) Insurance Commission to others 0 0 0 0 32563 33247 4141 8642

FORM NL-7 OPERATING EXPENSES SCHEDULE OPERATING EXPENSES RELATED TO INSURANCE BUSINESS (Rs. 000) SN Particulars For the quarter Up to the Quarter For the corresponding quarter of the preceding year Up to the Quarter of the preceding year 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2015 to 31.03.2016 1 Employees remuneration & welfare benefits 29055 357110 172708 366570 2 Travel, conveyance and vehicle running expenses 10429 35457 7109 24958 3 Training expenses 775 2017 571 3555 4 Rents, rates & taxes 25373 98650 21059 79901 5 Repairs 2332 9505 5777 14846 6 Printing & Stationery 1826 11793 1360 5362 7 Communication 2169 8863 1656 6613 8 Legal & Professional charges 3491 8553 3081 8831 9 Auditor's Fees, Expenses etc (a) as auditor 2305 2941 1467 1812 (b) as adviser or in any other capacity, in respect of (i) Taxation matters 0 0 0 0 (ii) Insurance matters 0 0 0 0 (iii) Management services; and 0 0 0 0 (c) in any other capacity 0 0 0 0 10 Advertisement and Publicity 3423 28028 7413 27384 11 Research & Development Expenses 5 2466 900 1450 12 Fee & Subscription to Statutory Authorities 49 21771 11782 31143 13 Interest & Bank Charges 426 2105 510 580 14 Depreciation 30016 121081 21305 97729 15 Information Technology 53129 253352 22946 209759 16 Service charges to Banks/FI's 228302 646115 83785 242810 17 Other 19610 56867 9984 35706 Total 412716 1666674 373413 1159009 The Previous Year figures of Rs. 24,28,10 thousand pertaining to ''Service Charges to Banks" & "Insurance Commission to others" have been regrouped from "Schedule 3" to "Schedule 4" under the heading 'Service charges to Banks/FI's' to make it comparable with Current Year figures.

FORM NL-8 SHARE CAPITAL SCHEDULE SHARE CAPITAL AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) 1 Authorised Capital Equity Shares of Rs 10 each 15000000 15000000 2 Issued Capital Equity Shares of Rs.10 each 2000000 2000000 3 Subscribed Capital Equity Shares of Rs.10 each 2000000 2000000 4 Called-up Capital Equity Shares of Rs.10 each 2000000 2000000 Less : Calls unpaid 0 0 Add : Equity Shares forfeited (Amount 0 0 originally paid up) Less : Par Value of Equity Shares bought back 0 0 Less : Preliminary Expenses 0 0 Expenses including commission or 0 0 brokerage on Underwriting or subscription of shares 0 0 TOTAL 2000000 2000000

FORM NL-9 PATTERN OF SHAREHOLDING SCHEDULE PATTERN OF SHAREHOLDING AS AT 31ST MARCH, 2017 [As certified by the Management] Promoters Indian Shareholder As at 31.03.2017 As at 31.03.2016 Number of Shares ('000) % of Holding Number of Shares ('000) % of Holding General Insurance Corporation of India 70000 35% 70000 35% National Agriculture Bank for Rural Development National Insurance Company Ltd.& its nominee 60000 30% 60000 30% 17500 8.75% 17500 8.75% The Oriental Insurance Company Ltd. 17500 8.75% 17500 8.75% United India Insurance Company Ltd. 17500 8.75% 17500 8.75% The New India Assurance Company Ltd. & its nominee 17500 8.75% 17500 8.75% Foreign NIL NIL NIL NIL Others TOTAL 200000 100% 200000 100%

FORM NL-10 RESERVES AND SURPLUS SCHEDULE RESERVES AND SURPLUS AS AT 31ST MARCH, 2017 (Rs. 000) SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 1 Capital Reserve 0 0 2 Capital Redemption Reserve 0 0 3 Share Premium 0 0 4 General Reserve Opening Balance 24434932 21365564 Less: Change in Depreciation Reserve as per Companies Act 2013 Add: Profit transferred during the year 3237681 27672613 3069368 24434932 5 Catastrophe Reserve 0 0 6 Other Reserves 0 0 Balance of Profit in Profit & Loss Account TOTAL 27672613 24434932

FORM NL-11 BORROWINGS SCHEDULE BORROWINGS AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) 1 Debentures/ Bonds 0 0 2 Banks 0 0 3 Financial Institutions 0 0 4 Others (to be specified) 0 0 TOTAL 0 0

SN FORM NL-12 INVESTMENTS SCHEDULE INVESTMENTS AS AT 31ST MARCH, 2017 Particulars LONG TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills Current Year 01.04.2016-31.03.2017 (Rs. 000) Previous Year 01.04.2015-31.03.2016 11944692 11605593 2 Other Approved Securities 7759501 6805199 3 Other Investments ( a) Shares (aa) Equity 2077290 1055159 (bb) Preference 0 0 ( b) Mutual Funds 0 0 (c) Derivative Instruments 0 0 (d) Debentures/ Bonds 6834586 7399344 (e) Other Securities 0 0 (f) Subsidiaries 0 0 (g) Investment Properties-Real Estate 0 0 4 Investments in Infrastructure and Social Sector 6373585 5571556 5 Other than Approved Investments 17451 12880 Sub-total (A) 35007105 32449731 SHORT TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills 8367859 996294 2 Other Approved Securities 0 81090 3 Other Investments (a) Shares (aa) Equity 0 0 (bb) Preference 0 0 (b) Mutual Funds 400106 1138360 (c) Derivative Instruments 0 0 (d) Debentures/ Bonds 2674880 1500000 (e) Other Securities 17212216 21684750 (f) Subsidiaries 0 0 (g) Investment Properties-Real Estate 0 0 4 Investments in Infrastructure and Social Sector 1211209 800353 5 Other than Approved Investments 10001832 2401592 Sub-total (B) 39868102 28602439 Note: TOTAL 74875207 61052170 (1) A cumlative provision of Rs. 18,06,65 thousand (Previous Year Rs.13,90,38 thousand) on Standard Assets in respect of Shareholders and Policyholders investment in Debentures/Bonds appears under item 5 (c) in Schdule 14. Market Value of Investments on 31.03.2017 74875207 61052170 Less: Fair Value Change Account 96522 (176831) Book Value of Investments as on 31.03.2017 74778685 61229001

FORM NL-13 LOANS SCHEDULE LOANS AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) 1 SECURITY-WISE CLASSIFICATION Secured (a) On mortgage of property (aa) In India 0 0 (bb) Outside India 0 0 (b) On Shares, Bonds, Govt. Securities 0 0 (c) Others -Loan to staff 49029 37832 Unsecured 0 0 TOTAL 49029 37832 2 BORROWER-WISE CLASSIFICATION (a) Central and State Governments 0 0 (b) Banks and Financial Institutions 0 0 (c) Subsidiaries 0 0 (d) Industrial Undertakings 0 0 (e) Others (Loans to Staff) 49029 37832 TOTAL 49029 37832 3 PERFORMANCE-WISE CLASSIFICATION (a) Loans classified as standard (aa) In India 49029 37832 (bb) Outside India 0 0 (b) Non-performing loans less provisions (aa) In India 0 0 (bb) Outside India 0 0 TOTAL 49029 37832 4 MATURITY-WISE CLASSIFICATION (a) Short Term 3614 3963 (b) Long Term 45415 33869 TOTAL 49029 37832

FORM NL-14 FIXED ASSETS AS AT 31ST MARCH, 2017 (Rs. '000) Particulars Cost/Gross Block Depreciation Net Block Add: Less: As at Additions Sale/Deduction / As at As at For On sale/ Up to As at As at 01.04.2016 during Discarded 31.03.2017 01.04.2016 the current adjustment 31.03.2017 31.03.2017 31.03.2016 the year during the year Year (A)Tangible Assets Buildings 364384 110 0 364494 65293 14632 0 79925 284569 299091 Furniture & Fixtures 16124 822 0 16946 10644 1592 0 12236 4710 5480 I.T. Equipments 202234 7587 48573 161248 146662 31282 45232 132712 28536 55572 Vehicles 27818 7509 2775 32552 15063 4409 2090 17382 15170 12755 Office Equipments 9567 1487 26 11028 7694 1147 17 8824 2204 1873 Elec.Equip.& Fittings 9782 141 0 9923 5697 1192 0 6889 3034 4086 Capital Work In Progress 0 582731 0 582731 0 0 0 0 582731 (B)Intangible Assets Computer Software 466066 0 0 466066 270436 68306 0 338742 127324 195630 TOTAL (A+B) 1095975 600387 51374 1644988 521489 122560 47339 596710 1048278 574487 PREVIOUS YEAR 839805 259742 3572 1095975 410436 113701 2649 521488 574487 -

FORM NL-15 CASH AND BANK BALANCES SCHEDULE CASH AND BANK BALANCES AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) 1 Cash (including cheques, drafts and stamps) 17 16164 2 Bank Balances (a) Deposit Accounts (i) Flexi Deposit 4280353 2935750 (ii) Others 0 (b) (i) Current Accounts 8422139 663030 (ii) Others 0 0 3 Money at Call and Short Notice (a) With Banks 0 0 (b) With other Institutions 0 0 4 Others 0 0 TOTAL 12702509 3614944 Note: Balance with Non-Scheduled Banks included in 2 and 3 above is NIL (Previous year NIL)

FORM NL-16 ADVANCES AND OTHER ASSETS SCHEDULE ADVANCES AND OTHER ASSETS AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) ADVANCES 1 Reserve deposits with ceding companies 0 0 2 Application money for investments 0 0 3 Prepayments 21601 42441 4 Advances to Directors/Officers 4512 3654 5 Advance tax paid and taxes deducted at source (Net of provision for taxation) 2004762 404976 6 Others: (a) Advance Rent paid 930 4921 (b) Sundry Advances 21960 24162 Less: Provision for premium defalcation (17833) (17833) TOTAL (A) 2035932 462321 OTHER ASSETS 1 Income accrued on investments 1 (a) Accrued but not due 1543600 1594175 1(b) Accrued and due 0 0 1(b) Income accrued on flexi deposit 0 0 2 Outstanding Premiums 0 0 3 Agents Balances 0 4 Due from other entities carrying on insurance business(including reinsurers) 49162 250562 5 Due from subsidiaries/ holding company 0 0 6 Deposit with Reserve Bank of India 0 0 [Pursuant to section 7 of Insurance Act, 1938] 7 Others: a) Sundry Deposits 85030 51602 b) Advance against Capital Assets 864806 776580 c) Short Collection of Premium 19655 78305 d) Others (Adhoc payment to Govt. of India) 2000000 2000000 e) Government (Centre/States/Uts/Coffee Board) 22034342 5022652 f) Service Tax Unutilized Credit 21242 21533 TOTAL (B) 26617837 9795409 GRAND TOTAL (A+B) 28653769 10257730

FORM NL-17 CURRENT LIABILITIES SCHEDULE SN Particulars Current Year Previous Year 01.04.2016-31.03.2017 01.04.2015-31.03.2016 (Rs. 000) 1 Agents Balances 0 0 2 Balances due to other insurance companies 37445277 587938 3 Deposits held on re-insurance ceded 0 0 4 Premiums received in advance 0 0 5 Unallocated Premium 0 0 6 Sundry Creditors 1561764 562956 7 Due to subsidiaries/ holding company 0 0 8 Claims Outstanding 33633406 26448242 9 Due to Officers/ Directors 0 0 10 Others: CURRENT LIABILITIES FOR THE PERIOD ENDING 31ST MARCH, 2017 a) Excess Collection of Premium, other than 1072621 953197 b) Expenses Payable 332497 69983 c) Earnest Money Deposit 6506 3165 d) Government (Centre/States/UTs/Coffee Board) 3865974 8607709 11 Unclaimed Amount of policyholders 388703 474458 TOTAL 78306748 37707648

FORM NL-18 PROVISIONS SCHEDULE PROVISIONS AS AT 31ST MARCH, 2017 SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 1 Reserve for Unexpired Risk 8889585 11140235 2 For taxation (less advance tax paid 0 0 and taxes deducted at source) 3 For Proposed Dividends 0 0 4 For Dividend Distribution Tax 0 0 5 Others: (Rs. 000) a) Provision for Retirement Benefits 166768 251145 b) Provision for Doubtful Debts 47 47 c) Provision on Standard Assets 180665 139038 d) Provision for Outstanding Expenses 10200 7205 e) Provision for Purchase 5722 14366 f) Provision for Loyalty Discount 8 8 g) Reserve for Premium Deficiency 0 0 TOTAL 9252995 11552044

FORM NL-19 MISCELLANEOUS EXPENDITURE SCHEDULE MISCELLANEOUS EXPENDITURE FOR THE PERIOD ENDING 31ST MARCH, 2017 (To the extent not written off or adjusted) SN Particulars Current Year 01.04.2016-31.03.2017 Previous Year 01.04.2015-31.03.2016 (Rs. 000) 1 Discount Allowed in issue of shares/ debentures 0 0 2 Others 0 0 Total 0 0

FORM NL-20 RECEIPT AND PAYMENTS SCHEDULE RECEIPT AND PAYMENTS FOR THE PERIOD ENDING 31ST MARCH, 2017 Particulars Amount (Rs in '000) Cash Flows from the Operating Activities: Premium received from policyholders, including advance receipts 70120533 Other receipts 166113 Payments to the re-insurers, net of commissions and claims (35391916) Payments to co-insurers, net of claims recovery 0 Payments of claims (27669730) Payments of commission and brokerage (54540) Payments of other operating expenses (1350819) Preliminary and pre-operative expenses 0 Deposits, advances and staff loans (11197) Income taxes paid (Net) (3252386) Service tax paid 291 Other payments (139894) Increase/decrease in current assets (16838382) Increase/decrease in liability 33122834 Cash flows before extraordinary items 18700908 Cash flow from extraordinary operations 0 Net cash flow from operating activities 18700908 Cash flows from investing activities: Purchase of fixed assets (688613) Proceeds from sale of fixed assets 928 Purchases of investments (18717166) Loans disbursed 0 Sales of investments 0 Repayments received 0 Rents/Interests/ Dividends received 4621670 Investments in money market instruments and in liquid mutual funds (Net)* 5210788 Expenses related to investments (2404) Net cash flow from investing activities (9574797) Cash flows from financing activities: Proceeds from issuance of share capital 0 Proceeds from borrowing 7095000 Repayments of borrowing (7095000) Increase in Liabilities 0 Interest/dividends paid (38546) Net cash flow from financing activities 0 Net cash flow from financing activities (38546) Effect of foreign exchange rates on cash and cash equivalents, net 0 Net increase in cash and cash equivalents: Cash and cash equivalents at the beginning of the year 3614944 Cash and cash equivalents at the end of the year 12702510 *Investments in mutual funds where these are used as parking vehicles pending investment are to be indicated (net).

FORM NL-21 STATEMENT OF LIABILITIES STATEMENT OF LIABILITIES AS AT 31ST MARCH, 2017 As at 31.03.2017 As at 31.03.2016 (Rs. in Lakh) SN Particular Reserves for unexpired risks Reserve for Outstanding Claims IBNR Reserves Total Reserves Reserves for unexpired risks Reserve for Outstanding Claims IBNR Reserves Total Reserves 1 Fire 2 Marine a Marine Cargo b Marine Hull 3 Miscellaneous a Motor b Engineering c Aviation d Liabilities e Others 4 Health Insurance 5 Crop Insurance 88895.85 398866.00 686160.79 1173922.64 111402.35 148587.61 118302.10 378292.06 Total Liabilities 88895.85 398866.00 686160.79 1173922.64 111402.35 148587.61 118302.10 378292.06

FORM NL-22 GEOGRAPHICAL DISTRIBUTION OF BUSINESS GROSS DIRECT PREMIUM UNDERWRITTEN FOR THE PERIOD ENDING 31ST MARCH, 2017 (Rs. in Lakh) STATES Crop Insurance For the Quarter ending March 2017 Upto Year ending March 2017 For the Quarter ending March 2017 Grand Total Upto Year ending March 2017 Andhra Pradesh 2235 21122 2235 21122 Arunachal Pradesh 0 0 0 0 Assam 0 9 0 9 Bihar -10 26090-10 26090 Chhattisgarh 2350 2635 2350 2635 Goa 0 0 0 0 Gujarat 4070 57033 4070 57033 Haryana 0 0 0 0 Himachal Pradesh 3533 3929 3533 3929 Jammu & Kashmir 0 0 0 0 Jharkhand -3 24319-3 24319 Karnataka 24561 37194 24561 37194 Kerala 476 1137 476 1137 Madhya Pradesh 32802 168747 32802 168747 Maharasthra 98 127184 98 127184 Manipur 0 303 0 303 Meghalaya 1 6 1 6 Mizoram 0 0 0 0 Nagaland 0 0 0 0 Orissa 0 549 0 549 Punjab 0 0 0 0 Rajasthan 19641 67337 19641 67337 Sikkim 0 2 0 2 Tamil Nadu 41228 50933 41228 50933 Telangana -35 5661-35 5661 Tripura 0 2 0 2 Uttar Pradesh 45854 83590 45854 83590 Uttrakhand 1344 2364 1344 2364 West Bengal 8317 17645 8317 17645 Andaman & Nicobar Is. 0 1 0 1 Chandigarh 0 0 0 0 Dadra & Nagra Haveli 0 0 0 0 Daman & Diu 0 0 0 0 Delhi 0 0 0 0 Lakshadweep 0 0 0 0 Puducherry 164 164 164 164 Total 186625 697956 186625 697956

NL-23-Risk RI Conc IRDA Periodic Disclosures FORM NL-23 Reinsurance Risk Concentration PERIODIC DISCLOSURES From 01.04.2016 to 31.03.2017 S.No. Reinsurance Placements Reinsurance Risk Concentration No. of reinsurers Premium ceded to reinsurers (Rs in Lakhs) Proportional Non-Proportional Facultative Premium ceded to reinsurers / Total reinsurance premium ceded (%) 1 No. of Reinsurers with rating of AAA and above 0 0.00 0.00 0.00 2 No. of Reinsurers with rating AA but less than AAA 5 39279.99 6258.26 8.74 3 No. of Reinsurers with rating A but less than AA 33 82128.19 8360.40 17.37 Nil 4 No. of Reinsurers with rating BBB but less than A 0 0.00 0.00 0.00 5 No. of Reinsurres with rating less than BBB 0 0.00 0.00 0.00 6 No. of Indian Reinsurers 5 382882.96 2124.82 73.89 Total 43 504291.14 16743.49 100.00 Page 23 of 41

FORM NL-24 Ageing of Claims Sl.No. Line of Business 1 Fire 2 Marine Cargo 3 Marine Hull 4 Engineering 5 Motor OD 6 Motor TP 7 Health 8 Overseas Travel 9 Personal Accident 10 Liability FORM NL-24 AGEING OF CLAIMS ENDED 31st MAR 2017 PERIODIC DISCLOSURES Ageing of Claims No. of claims paid ( in Lacs) 1 month 1-3 months 3-6 months 6 months - 1 year > 1 year Total No. of claims paid Total amount of claims paid 11 Crop 3519605 7039209 3634923 2556378 468917 17219032 276095.36 12 Miscellaneous

FORM NL-25 CLAIMS DATA FOR THE YEAR ENDED 31st MAR 2017 Sl. No. Claims Experience Crop No. of Claims (No. of Farmers) Total 1 Claims O/S at the beginning of the period 12954875 12954875 2 Claims reported during the period 12192604 12192604 3 Claims Settled during the period 17219032 17219032 4 Claims Repudiated during the period 367 367 5 Claims closed during the period 664 664 6 Claims O/S at End of the period 8180841 8180841 Less than 3months 3745704 3745704 3 months to 6 months 548991 548991 6months to 1 year 1483517 1483517 1 year and above 2402629 2402629

FORM NL-26 CLAIMS INFORMATION -KG TABLE I Required Solvency Margin Based on Net Premium and Net Incurred Claims (Rs. in Lakh) SN Description Gross Premium Net Premium Gross incurred claim Net incurred Claim RSM-1 RSM-2 RSM 1 Fire 2 Marine Cargo 3 Marine Hull 4 Motor 5 Engineering 6 Aviation 7 Laibilities 8 Others-Crop Insurance 698826.33 177791.71 837688.51 239921.72 69882.63 125653.28 125653.28 9 Health Total 698826.33 177791.71 837688.51 239921.72 69882.63 125653.28 125653.28

NL-27-Off Op IRDA Periodic Disclosures FORM NL-27 Offices Information for Non - Life OFFICES INFORMATION FOR NON - LIFE FOR THE PERIOD ENDING 31ST MARCH, 2017 Sl. No. Office Information Number 1 2 3 4 5 6 7 8 9 No. of offices at the beginning of the year 19 No. of branches approved during the year 1 No. of branches opened during the Out of approvals of previous year 0 year Out of approvals of this year 0 No. of branches closed during the year 0 No of branches at the end of the year 19 No. of branches approved but not opened 1 No. of rural branches Nil No. of urban branches 19 The above figure includes 1 Head Office at Delhi and 17th Regional Offices and 1 One Man Office at Shimla. Page 27 of 41

FORM NL-28-STATEMENT OF ASSETS - 3B Company Name & Code: Statement as on: Statement of Investment Assets (General Insurer, Re-insurers) (Business within India) AGRICULTURE INSUARNCE COMPANY OF INDIA LIMITED, CODE NO.126 31ST MARCH 2017 Rs. In Lakhs No PARTICULARS SCH AMOUNT 1 Investments 8 748752 2 Loans 9 490 3 Fixed Assets 10 10483 4 Current Assets a. Cash & Bank Balance 11 127025 b. Advances & Other Assets 12 286538 5 Current Liabilities a. Current Liabilities 13 783067 b. Provisions 14 92530 c. Misc. Exp not Written Off 15 0 d. Debit Balance of P&L A/c 16 0 Application of Funds as per Balance Sheet (A) 2048885.00 Less: Other Assets SCH AMOUNT 1 Loans (if any) 9 490 2 Fixed Assets (if any) 10 10483 3 Cash & Bank Balance (if any) 11 127025 4 Advances & Other Assets (if any) 12 286538 5 Current Liabilities 13 783067 6 Provisions 14 92530 7 Misc. Exp not Written Off 15 0 8 Debit Balance of P&L A/c 16 0 TOTAL (B) No 'Investment Assets' As per FORM 3B 'Investment' represented as (A-B) Reg. % 1300133 748752 SH Balance FRSM + PH Book Value (SH + PH) % Actual FVC Amount Total *Market Value (a) (b) (c) d = (b+c) (e) (d + e) 1 G. Sec. Not less than 20% 0 83505 119621 203126 27.16% 0 203126 208772 2 G. Sec or Other Apporved Sec. (incl. (1) above) Not less than 30% 0 115404 165316 280721 37.54% 0 280721 291406 3 Investment subject to Exposure Norms 1.'Housing & Loans to SG for Housing and FFE, Infrastructure Investments Not less than 15% 0 47421 67931 115352 15.43% 0 115352 117404 2. Approved Investments Not exceeding 55% 0 103317 148002 251320 33.61% 1167 252487 253599 3. Other Investments (not exceeding 25%) Not exceeding 25% 0 41272 59123 100395 13.43% -202 100193 100193 Total Investment Assets 100.00% 307414 440372 747788 100.00% 965 748752 762602 *All securities are considered to be on the basis of 'Held to Maturity'. Certification: Certified that the information given herein are correct and complete to the best of my knowledge and belief and nothing has been concealed or suppressed Note: (+) FRMS refers 'Funds representing Solvency Margin' (*) Pattern of Investment will apply only to SH funds representing FRMS ( A ) Book Value shall not include funds beyond Solvency Margin Other Investments' are as permitted under Sec 27A(2) and 27B(3)

NL-29-Debt Sec IRDA Periodic Disclosures FORM NL-29 Detail regarding debt securities PERIODIC DISCLOSURES Agriculture Insurance Company of India Ltd As at 31.03.2017 as % of total for this class as at 31.03.2016 of the previous year as % of total for this class As at 31.03.2017 as % of total for this class as at 31.03.2016 of the previous year (Rs in Lakhs) as % of total for this class Break down by credit rating AAA rated 410739.00 64.42% 310416.42 54.38% 397810.11 63.77% 304331.50 53.92% AA or better 54782.67 8.59% 43568.46 7.63% 53853.01 8.63% 43262.80 7.66% Rated below AA but above A Rated below A but above B Any other 172122.16 26.99% 216847.50 37.99% 172122.16 27.59% 216847.50 38.42% BREAKDOWN BY RESIDUAL MATURITY Up to 1 year 295035.36 46.27% 250764.98 43.93% 294661.63 47.24% 250624.88 44.40% more than 1 year and upto 3 years 107486.37 16.86% 83833.02 14.69% 104968.08 16.83% 82566.74 14.63% More than 3 years and up to 7 years 143854.06 22.56% 139838.36 24.50% 138033.18 22.13% 137839.00 24.42% More than 7 years and up to 10 years 78468.53 12.31% 75340.67 13.20% 73404.94 11.77% 72641.09 12.87% above 10 years 12799.50 2.01% 21055.35 3.69% 12717.45 2.04% 20770.09 3.68% Breakdown by type of the issurer. a. Central Government 208771.75 32.74% 128110.02 22.44% 203125.50 32.56% 126018.88 22.33% b. State Government 82643.78 12.96% 71536.96 12.53% 77595.01 12.44% 68862.89 12.20% c. Corporate Securities 346228.30 54.30% 371185.40 65.03% 343064.77 55.00% 369560.03 65.47% *All securities are considered to be on the basis of 'Held to Maturity'. Detail Regarding debt securities MARKET VALUE* BOOK VALUE Page 29 of 41

FORM NL-30 ANALYTICAL RATIOS RegistRation No. 126 and Date of RegistRation with the IRDA: 30.10.2003 ANALYTICAL RATIOS FOR NON-LIFE COMPANIES SN Particulars FOR THE QUARTER UP TO THE QUARTER FOR THE CORRESPONDING QUARTER OF THE PRECEEDING QUARTER UP TO THE QUARTER OF THE PRCEEDING QUARTER 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2015 to 31.03.2016 1 Gross Direct Premium Growth Rate 125.08% 98.21% 17.77% 28.53% 2 Gross Direct Premium to Net Worth Ratio (In Times)* 0.67 2.52 0.34 1.44 3 Growth Rate of Net Worth* 13.25% 13.25% 14.37% 14.37% 4 Net Retention Ratio 22.16% 25.44% 49.34% 63.27% 5 Net Commission Ratio -38.58% -33.44% -13.42% -5.62% 6 Expenses of Management to Gross Direct Premium Ratio 2.39% 2.44% 4.55% 3.32% 7 Expense of Management to Net Written Premium Ratio 10.77% 9.56% 9.23% 5.24% 8 Net Incurred Claims to Net Earned Premium 240.76% 119.78% 89.04% 99.66% 9 Combined Ratio 212.95% 95.72% 82.70% 98.15% 10 Technical Reserves to Net Premium Ratio (in Times) 1.92 2.40 0.15 1.70 11 Underwriting Balance Ratio (in Times) -1.12 0.02 0.18 0.02 12 Operating Profit Ratio -53.58% 15.21% 34.90% 15.02% 13 Liquid Assets to Liabilities Ratio (in Times) 5.91 1.23 8.40 0.85 14 Net Earnings Ratio -54.51% 18.21% 28.37% 13.78% 15 Return on Net Worth* -8.15% 11.70% 4.75% 12.56% 16 Available Solvency Margin Ratio to Required Solvency Margin Ratio* 1.84 1.84 3.26 3.26 17 NPA Ratio 0.00 0.00 0.00 0.00 Equity Holding Pattern for Non-Life Insurers 1 (a) No. of shares 2 (b) Percentage of shareholding (Indian / Foreign) 200000000 100% 3 (c) %of Government holding (in case of public sector insurance companies) 100% held by Govt. Corporation/Companies/Bank 4 (a) Basic and diluted EPS before extraordinary items (net of tax expense) for the period (not to be annualized) 16.19 15.35 5 (b) Basic and diluted EPS after extraordinary items (net of tax expense) for the period (not to be annualized) 16.19 15.35 6 (iv) Book value per share (Rs) Rs. 10/- Per Share Rs. 10/- Per Share *does not include Rs. 200 crore adhoc payment to Government of India

NL-31-Rel Par IRDA Periodic Disclosures FORM NL-31 : Related Party Transactions PERIODIC DISCLOSURES Sl.No. Name of the Related Party (Rs in Lakhs) Related Party Transactions Nature of Relationship with the Company Description of Transactions / Categories 01.01.2017 to 31.03.2017 01.04.2016 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2015 to 31.03.2016 1 General Insurance Corpn of India 64734.84 105921.84 19162.78 52042.51 2 General Insurance Corpn of India 870.22 870.22 0.00 0.00 3 New India Assurance Company 6131.37 6384.16 1913.79 5174.50 Shareholder Reinsurance 4 National Insurance Company 2541.38 2892.74 1916.58 5207.78 5 Oriental Insurance Company 3395.33 3395.33 6772.01 6772.01 6 United India Insurance Company 2363.98 2363.98 1913.80 6705.18 *including the premium flow through Assocaites/ Group companies as an agent Note: At Sl No. 2 figures shown pertain to RI Premium received from GIC Re in respect of Inward Reinsurance Accepted Note:At Sl No. 1,3,4,5 & 6 petain to RI Premium paid to GIC & GIPSA Cos in respect of Outward Reinsurance Ceded Consideration paid / received* Page 31 of 41

FORM NL-32 Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 Products Information as on 31st March 2017 List below the products and/or add-ons introduced during the period Sl. No. Name of Product Co. Ref. No. IRDA Ref.no. Class of Business* Category of product Date of filing of Product Date IRDA confirmed filing/ approval 1 PMFBY IRDAN126P0001V01201617 Crop Insurance Retail 20.04.2016 14.09.2016 2 PMFBY(micro) AIC-OM-P17-40-V01-16-17 Crop Insurance Retail 13.07.2016 28.09.2016

SN FORM NL-33 SOLVENCY MARGIN-KGII Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 SOLVENCY FOR THE YEAR ENDING 31ST MARCH, 2017 AVAILABLE SOLVENCY MARGIN AND SOLVENCY RATIO Description Notes No. (Rs. in lakh) Amount (1) (2) (3) (4) 1 Available Assets in Policyholders Funds (adjusted value 1 715139.57 of Assets as mentioned in Form IRDA-Assets-AA): Deduct: 2 Liabilities (reserves as mentioned in Form HG) 2 337171.20 3 Provision as per BS 88895.85 4 Other Liabilities (other liabilities in respect of 2 449530.37 Policyholders Fund as mentioned in Balance Sheet) 5 Excess in Policyholders Funds (1-2-3) (160457.86) 6 Available Assets in Shareholders Funds (value of 3 391532.63 Assets as mentioned in Form IRDA-Assets-AA): Deduct: 7 Other Liabilities (other liabilities in respect of 2 - Shareholders Fund as mentioned in Balance Sheet) 8 Excess in Shareholders Funds (6-7) 391532.63 9 Total Available Solvency Margin [ASM] (5+8) 231074.77 10 Total Required Solvency Margin [RSM] 125653.28 11 Solvency Ratio (Total ASM/Total RSM) 1.84

SN Name of person Schedule Details of change in the period Board of Directors 1 Mr. R. N. Dubey Chairman-cum-Managing Director Appointed as CMD vide GoI order A-15011/03/2016- Ins.1-II dated 27.05.2017 2 Mr. Alok Tandon Chairman-cum-Managing Director Ceased to hold office w.e.f. 7th June 2016 3 Mr. K. N. Bhandari Director No Change during the reported period 4 Prof. Gopal Naik Director No Change during the reported period 5 Mr. Manish Gupta Director No Change during the reported period 6 Mr. G. C. Gaylong Director Ceased to hold office w.e.f. 29th September 2016 Mr Alice G Vaidyan Director Joined on 29th September 2016 7 Mr. Naresh Gupta Director Ceased to hold office w.e.f. 10.08.2016 Dr B G Mukhopadyay Director Joined on 10th August 2016 8 Mr. P. Venkataramiah Director Ceased to hold office w.e.f. 10th August 2016 Mr K Santhkumar Director Joined on10th August 2016 9 Mr. P. Nayak Director Ceased to hold office w.e.f. 31st May 2016 Mr. G Srinivasn Director Joined on 27th October 2016 10 Ms. K. Ramadevi Director Ceased to hold office w.e.f. 29th September 2016 Mr Sujay Banarji Director Joined on 29th September 2016 11 Mr A. Hoda Director Ceased to hold office w.e.f. 31st December 2016 Key Persons FORM NL-34 For the period ending 31.03.2017 of FY 2016-17 Board of Directors and Key Person information 12 Ms. Megha Garg Appointed Actuary Ceased to hold office w.e.f. 27th March 2016

FORM NL-35-NON PERFORMING ASSETS-7A Company Name & Code: AGRICULTURE INSURANCE COMPANY OF INDIA LIMITED, CODE NO.126 Statement as on: 31ST MARCH 2017 Details of Investment Portfolio Instrument Interest Rate Total O/s Default Default Principal Interest Due COI Company Name Has there Principal Interest Classification Type (Book Value) Due from from Principal Interest Over? Board % been (Book Value) (Book Value) Amount Approval Ref revision? Deferred Deferred Rolled Has there been any Principal Waiver? Provision (%) Provision (Rs) NIL CERTIFICATION Certified that the information given herein are correct and complete to the best of my knowledge and belief and nothing has been concealed or suppressed. Note: A. Category of Investmet (COI) shall be as per INV/GLN/001/2003-04 B. FORM 7A shall be submitted in respect of each 'fund'. C. Classification shall be as per F&A-Circulars-169-Jan-07 Dt.24-01-07.

FORM NL-36-YIELD ON INVESTMENTS 1 Company Name & Code: AGRICULTURE INSUANCE COMPANY OF INDIA LIMITED, CODE NO.126 Statement as on: 31ST MARCH 2017 Statement of Investment and Income on Investment Rs. Lakhs Current Quarter Year to Date Previous Year No. Category of Investment Category Code Investment (Rs.) Income on Gross Net Investment (Rs.) Income on Gross Net Investment (Rs.) Investment Yield Yield Investment Yield Yield (Rs.) (%)¹ (%)² (Rs.) (%)¹ (%)² Book Value Market Value* Book Value Market Value Book Value Market Value Income on Investment (Rs.) Gross Net Yield Yield (%)¹ (%)² A1 CENTRAL GOVERNMENT BONDS CGSB 124,001.78 131,421.10 2,464.95 1.99 1.30 124,250.25 128,928.60 9,890.57 7.96 5.21 102,663.61 103,673.14 8,169.26 7.96 5.20 A4 DEPOSIT UNDER SECTION 7 OF INSURANCE ACT, 1938 CDSS 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 986.13 1,012.10 21.54 2.18 1.43 A5 TREASURY BILLS CTRB 25,607.43 25,525.42 366.62 1.43 0.94 12,480.14 12,434.77 456.84 3.66 2.39 4,185.48 4,158.18 194.59 4.65 3.04 B1 STATE GOVERNMENT BONDS SGGB 76,429.96 82,437.22 1,623.14 2.12 1.39 71,853.49 76,084.73 6,145.65 8.55 5.59 54,833.73 56,384.12 4,723.75 8.61 5.63 C5 BONDS / DEBENTURES ISSUED BY HUDCO HTHD 0.00 0.00 0.00 0.00 0.00 1,000.00 1,004.97 60.35 6.04 3.95 1,000.00 1,009.34 90.64 9.06 5.93 BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY HOUSING / BUILDING C7 SCHEME APPROVED BY CENTRAL / STATE / ANY HTDA 29,928.52 30,840.95 678.74 2.27 1.48 33,556.07 34,299.93 3,097.26 9.23 6.04 40,673.39 41,309.25 3,804.22 9.35 6.12 AUTHORITY OR BODY CONSTITUTED BY CENTRAL / STATE ACT C8 BONDS / DEBENTURES ISSUED BY HUDCO HFHD 4,262.00 4,254.70 79.45 1.86 1.86 4,262.00 4,153.26 319.32 7.49 7.49 4,262.00 4,013.38 319.81 7.50 7.50 D08 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPTD 20,005.61 20,732.69 418.70 2.09 1.37 20,388.01 21,011.27 1,731.20 8.49 5.55 23,270.22 23,727.43 1,976.67 8.49 5.55 INFRASTRUCTURE - OTHER CORPORATE SECURITIES - D10 ICTD 40,605.96 41,427.75 862.65 2.12 1.39 32,697.45 33,391.45 2,939.53 8.99 5.88 22,918.91 23,366.82 2,214.68 9.66 6.32 DEBENTURES/ BONDS D13 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPFD 12,002.77 12,102.88 221.87 1.85 1.85 12,002.89 11,826.46 898.52 7.49 7.49 11,079.54 10,561.93 836.53 7.55 7.55 E1 PSU - EQUITY SHARES - QUOTED EAEQ 5,471.01 5,685.24 138.27 2.53 2.53 5,059.03 4,774.84 302.63 5.98 5.98 4,110.29 3,366.72 119.49 2.91 2.91 DEPOSITS - DEPOSIT WITH SCHEDULED BANKS, FIS E17 (INCL. BANK BALANCE AWAITING INVESTMENT), CCIL, ECDB 183,519.15 183,519.15 3,320.78 1.81 1.18 195,341.46 195,341.46 15,081.76 7.72 5.05 166,556.86 166,556.86 14,551.55 8.74 5.71 RBI CORPORATE SECURITIES - EQUITY SHARES (ORDINARY)- E2 EACE 10,057.82 9,729.93 125.85 1.25 1.25 8,317.20 7,955.35 292.49 3.52 3.52 5,497.63 5,644.82 198.55 3.61 3.61 QUOTED E23 COMMERCIAL PAPERS ECCP 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 E24 APPLICATION MONEY ECAM 0.00 0.00 1.05 0.00 0.00 0.00 0.00 2.64 0.00 0.00 0.00 0.00 0.00 0.00 0.00 PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL E25 EUPD 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 500.00 499.69 3.47 0.69 0.45 ISSUED BY PSU BANKS PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL E26 EPPD 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 650.92 648.98 37.82 5.81 3.80 ISSUED BY NON-PSU BANKS E30 MUTUAL FUNDS - GILT / G SEC / LIQUID SCHEMES EGMF 16,574.23 16,575.80 12.87 0.08 0.08 13,718.83 19,879.21 343.13 2.50 2.50 11,146.98 13,230.80 467.86 4.20 4.20 E6 CORPORATE SECURITIES - BONDS - (TAXABLE) EPBT 50,981.03 52,060.21 1,119.25 2.20 1.44 46,441.46 47,294.83 4,213.57 9.07 5.93 33,390.44 33,867.45 3,161.42 9.47 6.19 F12 EQUITY SHARES (PSUS & UNLISTED) OEPU 394.83 162.02 5.42 1.37 1.37 394.83 139.65 7.38 1.87 1.87 396.03 156.01 79.64 20.11 20.11 MUTUAL FUNDS - DEBT / INCOME / SERIAL PLANS / F14 OMGS 57,293.96 57,157.00 513.79 0.90 0.90 29,789.73 31,190.18 1,055.16 3.54 3.54 20,436.85 21,348.67 1,114.83 5.45 5.45 LIQUID SECEMES F01 BONDS - PSU - TAXABLE OBPT 500.22 503.97 11.08 2.21 1.45 500.42 504.34 33.05 6.60 4.32 0.00 0.00 0.00 0.00 0.00 TOTAL 657,636.29 674,136.03 11,964.48 1.82 1.25 612,053.25 630,215.31 46,871.04 7.66 5.19 508,559.00 514,535.68 42,086.33 8.28 5.41 *All securities are considered to be on the basis of 'Held to Maturity'. *Market Values on 31/03/2017 are shown for Current Quarter and Year to Date CERTIFICATION Certified that the information given herein are correct and complete to the best of my knowledge and belief and nothing has been concealed or suppressed. Date: Note: Category of Investment (COI) shall be as per 1 To be calculated based on Monthly or lesser 2 Yield netted for Tax 3 FORM-1 shall be prepared in respect of each fund. 4 Yields mentioned above are Annualized Yield

FORM NL-37-DOWN GRADING OF INVESTMENT-2 Company Name & Code: AGRICULTURE INSURANCE COMPANY OF INDIA LIMITED,CODE NO.126 Statement as on: 31ST MARCH 2017 Statement of Down Graded Investments Rs. Lakhs No Name of the Security COI Amount Date of Purchase Rating Agency Original Grade Current Grade Date of Downgrade Remarks A. During the Quarter ¹ 8.75% SAIL NCB 23-04-2020 EPBT 1,000.00 31/03/2012 CARE AAA AA- 01/01/2017 B. As on Date ² 8.75% SAIL NCB 23-04-2020 EPBT 1,000.00 31/03/2012 CARE AAA AA- 01/01/2017 CERTIFICATION Certified that the information given herein are correct and complete to the best of my knowledge and belief and nothing has been concealed or suppressed. Note: 1 Provide details of Down Graded Investments during the Quarter. 2 Investments currently upgraded, listed as Down Graded during earlier Quarter shall be deleted from the Cumulative listing. 3 FORM-2 shall be prepared in respect of each fund. 4 Category of Investmet (COI) shall be as per INV/GLN/001/2003-04

FORM NL-38 Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 ANNUAL BUSINESS RETURNS ACROSS LINE OF BUSINESS Annual Business Returns across line of Business 01.01.2017 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2016 to 31.03.2017 (Rs in lakhs) 01.04.2015 to 31.03.2016 Sl.No. Line of Business Premium No. of Policies Premium No. of Policies Premium No. of Policies Premium No. of Policies 11 Crop Insurance 193296.41 3273255 82900.92 225956 697956.12 6543388 352109.68 1064902 Note: 1. Premium stands for amount of premium 2. The line of business which are not applicable for any company should be filled up with NA. Figure '0' in those fields will imply no business in the segment. *any other segment contributing more than 5% of the total premium needs to be shown separately

FORM NL-39 Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 Rural & Social Obligations as on 31.03.2017 (Rs in Lakhs) Sl.No. Line of Business Particular No. of Policies Issued Premium Collected Sum Assured 11 Crop Insurance Rural 6543388 697956.12 8756538.53 Social *any other segment contributing more than 5% needs to be shown separately

FORM NL-40 Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 Business Acquisition through different channels 01.01.2017 to 31.03.2017 01.01.2016 to 31.03.2016 01.04.2016 to 31.03.2017 (Rs in Lakhs) 01.04.2015 to 31.03.2016 Sl.No. Channels No. of Policies Premium No. of Policies Premium No. of Policies Premium No. of Policies Premium 1 Individual agents 2 Corporate Agents-Banks 3 Corporate Agents -Others 4 Brokers 576761 16682.17 2810 248.55 596153 17515.76 4190 319.93 5 Micro Agents 27827 3482.57 424 228.78 28957 3603.54 2026 277.06 6 Direct Business 11814-19286.57 32746 492.24 52164 127700.41 91734 2666.81 7 Other 2656853 192418.24 189976 81931.35 5866114 549136.40 966952 348845.88 Total (A) 3273255 193296.41 225956 82900.92 6543388 697956.12 1064902 352109.69 1 Referral (B) 0 0 0 0 0 0 0 0 Grand Total (A+B) 3273255 193296.41 225956 82900.92 6543388 697956.12 1064902 352109.69 Note: 1. Premium means amount of premium received from business acquired by the source 2. No of Policies stand for no. of policies sold

FORM NL-41 Grievance Disposal GRIEVANCE DISPOSAL STATEMENT AS on 31.03.2017 SN Particulars Opening Balance as on begining of the quarter Additions during the quarter Complaints Resolved/settled during the quarter Fully Accepted Partial Accepted Rejected Complaints Pending at the end of the quarter *Total Complaints registered upto the quarter during the financial Year 1 Complaints made by customers 2 3 4 5 a) Proposal Related 0 0 0 0 0 0 2 b) Claim 21 60 6 6 44 25 247 c) Policy Related 0 0 0 0 0 0 7 d) premium 0 4 0 0 4 0 6 e) Refund 0 0 0 0 0 0 0 f) Coverage 0 0 0 0 0 0 12 g) Cover Note related 0 0 0 0 0 0 0 h) Products 0 3 0 0 3 0 16 i) others 0 34 0 0 34 0 104 Total Number 21 101 6 6 85 25 394 * Includes 21 balance complaints of FY 2015-16 Total No. of Policies during Previous year NA Pendency Details: Nos. 1. Pending with Government 15 Total No. of Claims during Previous year Total No. of Policies during Current year Total No. of Claims during Current year 6 Total No. of Policy Complaints (current year) per 10,000/-policies (current year) 7 NA NA NA NA 2. Details/clarification awaited from Banks 4 3. Details awaited from complainants 5 4. Pending at HO for approval 1 Total No. of Claims Complaints (Current year ) per 10,000/-claims registered (current year) NA Total 25 8 Duration wise Pending Status FY 2016-17 as on 31.03.2017 Complaints made by the Customer Complaints made by intermediar ies a) < 15 days 6 0 6 b) 16-30days 0 0 0 c) >30 days 19 0 19 Total Number 25 0 25 Total