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SN Particulars FORM NL-1-B-RA REVENUE ACCOUNT FOR THE PERIOD ENDING 31ST MARCH, 2018 Schedule Quarter Ended March 31,2018 Year Ended March 31,2018 Quarter Ended March 31,2017 Year Ended March 31,2017 (Rs. 000) 1 Premium Earned (Net) NL-4-Premium Schedule 3761460 17795232 4069622 20029820 2 Profit/Loss on Sale/Redemption of Investments 6047 39983 (10656) 1850 3 Accretion of Discount on Investment (185545) 488557 24736 46461 4 Income from administration of outgoing Co-insurance Business 0 0 1676 143232 5 Interest, Dividend & Rent -Gross 893888 3179343 672891 2681865 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) 4475850 21503115 4758268 22903228 5177079 18192295 9798001 23992171 (557898) (5405100) (1595537) (5944947) 438790 1634097 412717 1666674 4 Premium Deficiency 0 0 0 0 5 Bank Interest 0 2725 (0) 38546 6 Expenses related to Investments : a) Amortization of Premium on Investments 12374 42344 6514 21036 b) Bank Charges 7 7 (0) 4 c) Stock Holding Charges 579 2716 164 1375 d) Other Expenses 3 56 3 33 TOTAL (B) 5070935 14469140 8621861 19774893 Operating Profit from Crop Insurance Business C=(A-B) (595084) 7033975 (3863593) 3128335 APPROPRIATIONS Transfer to Shareholders' Account (595084) 7033975 (3863593) 3128335 Transfer to Catastrophe Reserve 0 0 0 0 Transfer to Other Reserves 0 0 0 0 TOTAL (595084) 7033975 (3863593) 3128335

FORM NL-2-B-PL PROFIT AND LOSS ACCOUNT FOR THE PERIOD ENDING 31ST MARCH, 2018 Quarter Ended Year Ended March Quarter Ended SN Particulars Schedule March 31,2018 31,2018 March 31,2017 (Rs. 000) Year Ended March 31,2017 1 OPERATING PROFIT/(LOSS) (a) Fire Insurance (b) Marine Insurance (c) Misc. Insurance-Crop Insurance (595084) 7033975 (3863593) 3128335 2 INCOME FROM INVESTMENTS (a) Interest, Dividend & Rent Gross 297230 1383010 472359 1886081 (b) Profit on sale/redemption of Investments 2080 18202 (7494) 11464 (c) Loss on sale of Investments (810) (810) (10163) (d) Accretion of Discount on Investment (107732) 212521 18262 32675 3 OTHER INCOME (a) Miscellaneous Receipts 6575 85015 12025 22882 (b) Profit on Sale of Assets (4) 286 63 63 (c) Prior Period Income 10125 10125 0 TOTAL (A) (387621) 8742324 (3368378) 5071337 4 PROVISIONS (Other than taxation) (a) For diminution in the value of investments 0 0 0 0 (b) Provision for doubtful debts 21242 21242 0 (c) Provision for standard asset 0 (180665) 44172 41628 5 OTHER EXPENSES (a) Expenses other than those related to Insurance Business 0 0 i) Amortisation of Premium on Investments 4181 18419 4581 14794 ii) Stock Holding Charges 166 1181 115 967 iii) Bank Interest & Charges 3 3 (0) 3 vi) Other investment related expenses (1) 24 2 23 (b) Bad debts written off 0 0 0 0 (c) Others i) Loss on Sale of Assets 0 0 43 3170 ii) Prior Period Expenses 449 449 (1) 32 iii) Wealth Tax 0 0 0 0 iv) Corporate Social Responsibility (340) 83210 110429 139889 v) Others 0 0 0 5 TOTAL (B) 25700 (56137) 159341 200511 APPROPRIATIONS (a) Interim dividends paid during the year (b) Proposed final dividend (c) Dividend distribution tax (d) Corporate social responsibility (e) Transfer to any Reserves or Other Accounts Balance of profit/ loss brought forward from last year Balance carried forward to Balance Sheet Profit Before Tax C= (A-B) (413321) 8798461 (3527719) 4870826 PROVISION FOR TAXATION (134143) 2841773 (1273424) 1633145 Profit After Tax (D) (279178) 5956688 (2254295) 3237681 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 (279176) 5956688 (2254295) 3237681 0 0 0 0 (279176) 5956688 (2254295) 3237681

FORM NL-3-B-BS Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 BALANCE SHEET AS AT 31ST MARCH, 2018 Particulars Schedule As at March 31,2018 As at March 31,2017 (Rs. 000) SOURCES OF FUNDS Share Capital NL-8-Share Capital Schedule 2000000 2000000 Share Application Money Pending allotment x Reserves and Surplus NL-10-Reserves and Surplus Schedule 33629302 27672613 Fair Value Change Account 183783 96522 Deferred Tax Liability (net) 0 0 Borrowings NL-11-Borrowings Schedule 0 0 APPLICATION OF FUNDS TOTAL 35813084 29769135 Investments NL-12-Investment 76080737 74875207 Schedule Loans NL-13-Loans Schedule 93899 49029 Fixed Assets NL-14-Fixed Assets 2304149 1048278 Schedule Deferred Tax Asset (net) 75732 86 Current Assets Cash and Bank Balances NL-15-Cash and bank 26491277 12702509 balance Schedule Advances and Other Assets NL-16-Advances and Other Assets Schedule 29293764 28653769 Sub-Total (a) 55785041 41356278 Current Liabilities NL-17-Current 88693161 78306748 Liabilities Schedule Provisions NL-18-Provisions Schedule 9833313 9252995 Sub-Total (B) 98526474 87559743 NET CURRENT ASSETS (C) = (A - B) (42741433) (46203465) 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 35813084 29769135 Contingent Liabilities Claims, other than against policies, not acknowledged as debts by the Company 0 0

FORM NL- 4 PREMIUM SCHEDULE PREMIUM EARNED (NET) Quarter Ended Year Ended Quarter Ended Particulars March 31,2018 March 31,2018 March 31,2017 (Rs in '000) Premium from direct business written (Net of Service Tax) Add: Premium on reinsurance accepted Year Ended March 31,2017 15303360 78933901 18662049 69795611 (71397) 29556 (293) 87022 Less : Premium on reinsurance ceded 11844524 61152165 14526274 52103463 0 Net Premium 3387439 17811292 4135482 17779170 0 Adjustment for change in reserve for unexpired risks 374022 (16060) (65860) 2250650 Premium Earned (Net) 3761460 17795232 4069622 20029820

FORM NL-5 CLAIMS SCHEDULE CLAIMS INCURRED [NET] Quarter Ended Year Ended Quarter Ended Particulars March 31,2018 March 31,2018 March 31,2017 (Rs in '000) Year Ended March 31,2017 Claims paid 2995373 45772667 3842720 27609536 Add: Reinsurance Accepted (38503) (1374) 39440 60194 Less:Reinsurance Ceded 2137292 31232058 1949986 10706931 Net Claims paid 819577 14539235 1932174 16962799 0 0 Add Claims Outstanding at the end of the current year 28979260 145883794 25735841 108486297 Add: Reinsurance Accepted (60881) 0 (39909) 16393 Less: Reinsurance Ceded 24560878 108511315 17830104 74783270 Net Claims Outstanding at the end o 4357501 37372479 7865828 33719420 0 0 Less Claims Outstanding at the end of the previous of the year 0 108486296 (0) 52326983 Add: Reinsurance Accepted 0 16393 0 0 Less: Reinsurance Ceded 0 74783270 (0) 25636936 Net Claims Outstanding at the end o 0 33719419 (0) 26690047 Gross Incurred Claims 31974633 83170165 29578561 83768850 Add :Re-insurance accepted to direct claims (99384) (17767) (469) 76587 Less :Re-insurance Ceded to claims paid 26698170 64960103 19780090 59853265 0 Total Claims Incurred 5177079 18192295 9798003 23992172

FORM NL-6 COMMISSION SCHEDULE COMMISSION Particulars Quarter Ended March 31,2018 Year Ended March 31,2018 Quarter Ended March 31,2017 (Rs in '000) Year Ended March 31,2017 Commission paid Direct 24352 86432 32563 33247 Add: Re-insurance Accepted (17427) 7287 (72) 21293 Less: Commission on Re-insurance Ceded* 564823 5498819 1628028 5999487 Net Commission (557898) (5405100) (1595537) (5944947) Break-up of the expenses (Gross) incurred to procure business to be furnished as per details indicated below: Agents 0 0 0 0 Brokers 22263 67052 26366 26656 Corporate Agency (11102) 0 0 0 Others: 0 (i) Micro Insurance Agents/NGO's etc 5846 12035 5192 5372 (ii) Reimbursement to GIPSA Companies (Coinsurance-Tie Up) 0 0 1005 1219 (iii) Insurance Commission to others 7345 7345 0 0 TOTAL (B) 24352 86432 32563 33247

FORM NL-7 OPERATING EXPENSES SCHEDULE OPERATING EXPENSES RELATED TO INSURANCE BUSINESS SN Particulars Quarter Ended March 31,2018 Year Ended March 31,2018 Quarter Ended March 31,2017 Year Ended March 31,2017 (Rs in '000) 1 Employees remuneration & welfare benefits 161676 429703 29055 357110 2 Travel, conveyance and vehicle running expenses 11764 38447 10429 35456 3 Training expenses 2387 3450 775 2017 4 Rents, rates & taxes 31336 111238 25373 98650 5 Repairs 2783 10805 2332 9505 6 Printing & Stationery 1435 7184 1826 11793 7 Communication 1775 7723 2169 8863 8 Legal & Professional charges 8385 24023 3491 8553 9 Auditor's Fees, Expenses etc 0 0 0 (a) as auditor 1842 4688 2305 2941 (b) as adviser or in any other capacity, in respect of 0 (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 11034 31105 3423 28028 11 Research & Development Expenses 0 2303 5 2466 12 Fee & Subscription to Statutory Authorities 7181 25331 49 21771 13 Interest & Bank Charges (30664) 9966 426 2105 14 Depreciation 38565 120207 30016 121081 15 Information Technology 93620 173060 53129 253352 16 Service charges to Banks/FI's 66943 520593 228302 646115 17 Other 28728 114271 19610 56867 Total 438790 1634097 412717 1666674

FORM NL-9 PATTERN OF SHAREHOLDING SCHEDULE PATTERN OF SHAREHOLDING [As certified by the Management] Promoters Indian Shareholder As at 31.03.2018 Number of Shares ('000) % of Holding Number of Shares ('000) As at 31.03.2017 % 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 SN Particulars As at March 31,2018 As at March 31,2017 (Rs in '000) 1 Capital Reserve 0 2 Capital Redemption Reserve 0 3 Share Premium 0 4 General Reserve Opening Balance 27672613 24434932 Less: Change in Depreciation Reserve as per Companies Act 2013 Add: Profit transferred during the year 5956688 33629302 3237681 27672613 5 Catastrophe Reserve 0 0 6 Other Reserves 0 0 Balance of Profit in Profit & Loss Account TOTAL 33629302 27672613

FORM NL-11 BORROWINGS SCHEDULE BORROWINGS SN Particulars As at March 31,2018 As at March 31,2017 (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

FORM NL-12 INVESTMENTS SCHEDULE INVESTMENTS SN Particulars As at March 31,2018 As at March 31,2017 LONG TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills (Rs. 000) 11108573 11944692 2 Other Approved Securities 9152302 7759501 3 Other Investments ( a) Shares (aa) Equity 2751388 2077290 (bb) Preference 0 0 ( b) Mutual Funds 0 0 (c) Derivative Instruments 0 0 (d) Debentures/ Bonds 10263371 6834586 (e) Other Securities 0 0 (f) Subsidiaries 0 0 (g) Investment Properties-Real Estate 0 0 4 Investments in Infrastructure and Social Sector 7365709 6373585 5 Other than Approved Investments 100000 17451 Sub-total (A) 40741343 35007105 SHORT TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills 9205045 8367859 2 Other Approved Securities 60458 0 3 Other Investments (a) Shares (aa) Equity 0 0 (bb) Preference 0 0 (b) Mutual Funds 2248817 400106 (c) Derivative Instruments 0 0 (d) Debentures/ Bonds 2645956 2674880 (e) Other Securities 20011400 17212216 (f) Subsidiaries 0 0 (g) Investment Properties-Real Estate 0 0 4 Investments in Infrastructure and Social Sector 1067717 1211209 5 Other than Approved Investments 100000 10001832 Sub-total (B) 35339394 39868102 TOTAL 76080737 74875207 Note: Market Value of Investments on 31.03.2018 76080737 74875207 (Includes ammortized Book Value of Investment other than Equity, ETF & Mutual Fund) 71080531 62378526 Less: Fair Value Change Account 183783 96522 Book Value of Investments as on 31.03.2018 75896954 74778685

FORM NL-13 LOANS SCHEDULE LOANS SN Particulars As at March 31,2018 As at March 31,2017 (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 93899 49029 Unsecured 0 0 TOTAL 93899 49029 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) 93899 49029 TOTAL 93899 49029 3 PERFORMANCE-WISE CLASSIFICATION (a) Loans classified as standard (aa) In India 93899 49029 (bb) Outside India 0 0 (b) Non-performing loans less provisions (aa) In India 0 0 (bb) Outside India 0 0 TOTAL 93899 49029 4 MATURITY-WISE CLASSIFICATION (a) Short Term 3972 3614 (b) Long Term 89927 45415 TOTAL 93899 49029

Particulars Opening as at April, 1,2017 Additions FORM NL-14 FIXED ASSETS (Rs. '000) Cost/Gross Block Depreciation Net Block Deductions Closing as at Opening as at On sale Upto March 31 As at March As at March For the Period March 31,2018 April, 1,2017 /adjustment,2018 31,2018 31,2017 (A)Intangible Assets Computer Software 466066 19698 0 485764 338742 73537 0 412279 73485 127324 (B)Tangible Assets Buildings 364494 28759 0 393253 79925 14683 0 94608 298645 284569 Furniture & Fixtures 16946 5694 0 22640 12236 1234 0 13470 9170 4710 I.T. Equipments 161248 20343 298 181293 132712 23102 277 155537 25756 28536 Vehicles 32552 5735 1856 36431 17382 5647 1206 21823 14608 15170 Office Equipments 11028 1123 174 11977 8824 1113 159 9778 2199 2204 Elec.Equip.& Fittings 9923 441 114 10250 6889 891 110 7670 2580 3034 Sub-total (B) 596191 62095 2442 655844 257968 46670 1751 302886 352958 338223 (C) Work In Progress 582731 1307595 12620 1877706 0 0 0 0 1877706 582731 GRAND 'TOTAL (A+B+C) 1644988 1389388 15062 3019314 596710 120207 1751 715165 2304149 1048278 PREVIOUS YEAR 1095975 600387 51374 1644988 521489 122560 47339 596710 1048278 -

SN Particulars As at March 31,2018 As at March 31,2017 (Rs. 000) 1 Cash (including cheques, drafts and stamps) 7 17 2 Bank Balances (a) FORM NL-15 CASH AND BANK BALANCES SCHEDULE CASH AND BANK BALANCES Deposit Accounts (i) Short term (due with in 12 months) 10829966 4280353 (ii) Others 0 0 (b) (i) Current Accounts 15661304 8422139 (ii) Others 0 0 3 Money at Call and Short Notice 0 (a) With Banks 0 0 (b) With other Institutions 0 0 4 Others 0 0 TOTAL 26491277 12702509

FORM NL-16 ADVANCES AND OTHER ASSETS SCHEDULE ADVANCES AND OTHER ASSETS SN Particulars As at March 31,2018 As at March 31,2017 (Rs. 000) ADVANCES 1 Reserve deposits with ceding companies 0 0 2 Application money for investments 0 0 3 Prepayments 61139 21601 4 Advances to Directors/Officers 5771 4512 5 Advance tax paid and taxes deducted at source (Net of provision for taxation) 1787197 2004762 6 Others: (a) Advance Rent paid 612 930 (b) Sundry Advances 47398 21960 Less: Provision for premium defalcation (17833) (17833) TOTAL (A) 1884284 2035932 OTHER ASSETS 1 Income accrued on investments 1 (a) Accrued but not due 1744568 1543600 1(b) Accrued and due 8900 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) 10063075 49162 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 94147 85030 b) Advance against Capital Assets 11379 864806 c) Short Collection of Premium 92607 19655 d) Others (Adhoc payment to Govt. of India) 2000000 2000000 e) Government (Centre/States/Uts/Coffee Board) 12992093 22034342 f) Input Tax Credit-GST 21506 21242 Less: Provision for Doubtful Debts (21242) 0 8 Deposit pertaining to Unclaimed Amount of policyholders (a) Investment in Fixed Deposit with Banks 394730 0 (b) Interest Accrued but not due 7717 0 TOTAL (B) 27409480 26617837 GRAND TOTAL (A+B) 29293764 28653769

FORM NL-17 CURRENT LIABILITIES SCHEDULE CURRENT LIABILITIES SN Particulars As at March 31,2018 As at March 31,2017 1 Agents Balances 0 0 2 Balances due to other insurance companies 45137768 37445277 3 Deposits held on re-insurance ceded 0 0 4 Premiums received in advance 0 0 5 Unallocated Premium 0 0 6 Sundry Creditors 2208760 1561764 7 Due to subsidiaries/ holding company 0 0 8 Claims Outstanding 37204481 33633406 9 Due to Officers/ Directors 0 0 10 Others: (Rs. 000) a) Excess Collection of Premium 587808 1072621 b) Expenses Payable 102032 332497 c) Earnest Money Deposit 4465 6506 d) Government (Centre/States/UTs/Coffee Board) 3032116 3865974 11 Unclaimed Amount of policyholders 415731 388703 TOTAL 88693161 78306748

SN Particulars As at March 31,2018 As at March 31,2017 1 Reserve for Unexpired Risk 8905646 8889585 2 For taxation (less advance tax paid 645000 0 and taxes deducted at source) 3 For Proposed Dividends 0 0 4 For Dividend Distribution Tax 0 0 5 Others: FORM NL-18 PROVISIONS SCHEDULE PROVISIONS (Rs. 000) a) Provision for Retirement Benefits 231044 166768 b) Provision for Doubtful Debts 47 47 c) Provision on Standard Assets 0 180665 d) Provision for Outstanding Expenses 45846 10200 e) Provision for Purchase 5722 5722 f) Provision for Loyalty Discount 8 8 TOTAL 9833313 9252995

FORM NL-19 MISCELLANEOUS EXPENDITURE SCHEDULE MISCELLANEOUS EXPENDITURE (To the extent not written off or adjusted) SN Particulars As at March 31,2018 As at March 31,2017 (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, 2018 Particulars Amount (Rs in '000) Cash Flows from the Operating Activities: Premium received from policyholders, including advance receipts 78325736 Other receipts 95140 Payments to the re-insurers, net of commissions and claims (24421782) Payments to co-insurers, net of claims recovery 0 Payments of claims (45771293) Payments of commission and brokerage (93719) Payments of other operating expenses (1675620) Preliminary and pre-operative expenses 0 Deposits, advances and staff loans (44870) Income taxes paid (Net)** (2063655) Service tax paid (264) Other payments (83210) Increase/decrease in current assets (556180) Increase/decrease in liability 7529082 Cash flows before extraordinary items 11239364 Cash flow from extraordinary operations 0 Net cash flow from operating activities 11239364 Cash flows from investing activities: Purchase of fixed assets (1376768) Proceeds from sale of fixed assets 976 Purchases of investments 4169941 Loans disbursed 0 Sales of investments 0 Repayments received 0 Rents/Interests/ Dividends received 4409861 Investments in money market instruments and in liquid mutual funds (Net)* (4647895) Expenses related to investments (3987) Net cash flow from investing activities 2552128 Cash flows from financing activities: Proceeds from issuance of share capital 0 Proceeds from borrowing 1932200 Repayments of borrowing (1932200) Increase in Liabilities Interest/dividends paid (2725) Net cash flow from financing activities Net cash flow from financing activities (2725) Effect of foreign exchange rates on cash and cash equivalents, net 0 Net increase in cash and cash equivalents: 13788767 Cash and cash equivalents at the beginning of the year 12702510 Cash and cash equivalents at the end of the year 26491277 *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 31.03.2018 As at 31.03.2017 (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 89056 209745 163980 462781 88896 155510 181661 426067 Total Liabilities 89056 209745 163980 462781 88896 155510 181661 426067

FORM NL-22 GEOGRAPHICAL DISTRIBUTION OF BUSINESS GROSS DIRECT PREMIUM UNDERWRITTEN FOR AND UPTO THE QUARTER ENDED MARCH 31,2018 (Rs. in Lakh) Crop Insurance Grand Total STATES Quarter Ended March 31,2018 Year Ended March 31,2018 Quarter Ended March 31,2018 Year Ended March 31,2018 Andhra Pradesh -2315 22652-2315 22652 Arunachal Pradesh 0 0 0 0 Assam 124 260 124 260 Bihar 4341 41151 4341 41151 Chhattisgarh 2388 2454 2388 2454 Goa 0 0 0 0 Gujarat 1477 111555 1477 111555 Haryana 0 0 0 0 Himachal Pradesh 933 3137 933 3137 Jammu & Kashmir 0 0 0 0 Jharkhand 0-2 0-2 Karnataka -3410 30240-3410 30240 Kerala 1366 2618 1366 2618 Madhya Pradesh 105612 255879 105612 255879 Maharasthra 744 127289 744 127289 Manipur 0 0 0 0 Meghalaya 0 0 0 0 Mizoram 0 0 0 0 Nagaland 0 0 0 0 Orissa 410 16719 410 16719 Punjab 0 0 0 0 Rajasthan 9290 91095 9290 91095 Sikkim 1 1 1 1 Tamil Nadu 12732 44998 12732 44998 Telangana 409 8559 409 8559 Tripura 33 33 33 33 Uttar Pradesh 5282 37 5282 37 Uttrakhand 2558 6673 2558 6673 West Bengal 11061 23990 11061 23990 Andaman & Nicobar Is. 0 0 0 0 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 0 0 0 0 Total 153034 789339 153034 789339

PERIODIC DISCLOSURES FORM NL-23 Agriculture Insurance Company of India Ltd. for the Quarter ending March 2018 Reinsurance Risk Concentration (Rs in Lakhs) S.No. Reinsurance Placements No. of reinsurers Premium ceded to reinsurers 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 0.00 2 No. of Reinsurers with rating AA but less than AAA 6 20167.01 1891.36 0.00 3.61 3 No. of Reinsurers with rating A but less than AA 42 97185.41 6212.77 0.00 16.91 4 No. of Reinsurers with rating BBB but less than A 2 2398.61 151.81 0.00 0.42 5 No. of Reinsurers with rating less than BBB 0 0.00 0.00 0.00 0.00 6 No. of Indian Reinsurers 10 472045.76 11466.84 2.09 79.07 Total 60 591796.78 19722.78 2.09 100.00

FORM NL-24 Ageing of Claims PERIODIC DISCLOSURES Agriculture Insurance Company of India Ltd. Ageing of Claims (Rs in Lakhs) Sl.No. Line of Business No. of claims paid Total No. of claims paid Total amount of claims paid 1 month 1-3 months 3-6 months 6 months - 1 year > 1 year 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 11 Crop 34557 69112 35204 35425-27749 146549 29953.73 12 Miscellaneous

PERIODIC DISCLOSURES FORM NL-25: : Quarterly claims data for Non-Life Agriculture Insurance Company of India Ltd. CIN :U74999DL2002PLC118123 No. of Claims only Sl. No. Claims Experience Crop Total 1 Claims O/S at the beginning of the period 3820536 3820536 2 Claims reported during the period 4700007 4700007 3 Claims Settled during the period 146549 146549 4 Claims Repudiated during the period 0 0 5 Claims closed during the period 22178 22178 6 Claims O/S at End of the period 8351816 8351816 Less than 3months 3321437 3321437 3 months to 6 months 1584631 1584631 6months to 1 year 1190374 1190374 1year and above 2255374 2255374

FORM NL-26 CLAIMS INFORMATION -KG TABLE I CIN :U74999DL2002PLC118123 Required Solvency Margin Based on Net Premium and Net Incurred Claims PREMIUM (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 789634.57 178112.92 831523.98 202479.63 78963.46 124728.60 124728.60 9 Health Total 789634.57 178112.92 831523.98 202479.63 78963.46 124728.60 124728.60

Sl. No. PERIODIC DISCLOSURES FORM NL-27 Agriculture Insurance Company of India Ltd Office Information FY 2017-18 Office Information Number 1 2 No. of offices at the beginning of the year No. of branches approved during the year 19 0 3 Out of approvals of previous year 1 No. of branches opened during the year 4 Out of approvals of this year 0 5 No. of branches closed during the year 0 6 No of branches at the end of the year 20 7 No. of branches approved but not opened 0 8 No. of rural branches 0 9 No. of urban branches 20 The above figure includes 1 Head Office at Delhi, 18 Regional Offices at various locations and 1 One Man Office at Shimla.

FORM NL-28-STATEMENT OF ASSETS - 3B AGRICULTURE INSUARNCE COMPANY OF INDIA LIMITED Statement as on: March 31, 2018 Statement of Investment Assets (General Insurer, Re-insurers) (Business within India) Periodicity of Submission: Quarterly (Rs. in Lakh) No PARTICULARS SCH AMOUNT 1 Investments 8 760807.37 2 Loans 9 938.99 3 Fixed Assets 10 23041.49 4 Current Assets a. Cash & Bank Balance 11 264912.77 b. Advances & Other Assets 12 292937.64 5 Current Liabilities a. Current Liabilities 13 886931.61 b. Provisions 14 98333.13 c. Misc. Exp not Written Off 15 0.00 d. Debit Balance of P&L A/c Application of Funds as per Balance Sheet (A) 2327903.00 Less: Other Assets SCH AMOUNT 1 Loans (if any) 9 938.99 2 Fixed Assets (if any) 10 23041.49 3 Cash & Bank Balance (if any) 11 264912.77 4 Advances & Other Assets (if any) 12 292937.64 5 Current Liabilities 13 886931.61 6 Provisions 14 98333.13 7 Misc. Exp not Written Off 15 0.00 8 Debit Balance of P&L A/c TOTAL (B) 1567095.63 'Investment Assets' As per FORM 3B (A-B) 760807.37 No 'Investment' represented as Reg. % SH PH Book Value (SH + PH) % Actual FVC Amount Total Balance FRSM + *Market Value (h) (a) (b) (c) d = (b+c) (e) (f) g= (d + f) 1 G. Sec. Not less than 20% 0 61570.58 141565.60 203136.18 26.76% 0 203136.18 205935.03 2 G. Sec or Other Apporved Sec. (incl. (1) above) Not less than 30% 0 89494.45 205769.33 295263.78 38.90% 0 295263.78 300089.55 3 Investment subject to Exposure Norms 1.'Housing & Loans to SG for Housing and FFE, Infrastructure Investments Not less than 15% 0 41686.89 95848.22 137535.12 18.12% 0 137535.12 138784.77 2. Approved Investments Not exceeding 55% 0 98256.82 225913.83 324170.65 42.71% 1837.82 326008.47 327417.75 3. Other Investments (not exceeding 25%) Not exceeding 25% 0 606.20 1393.80 2000.00 0.26% 0.00 2000.00 2026.77 Total Investment Assets 100.00% 0 230044.36 528925.18 758969.54 100.00% 1837.82 760807.37 768318.85 *All securities are considered to be on the basis of 'Held to Maturity'.

PERIODIC DISCLOSURES FORM NL-29 Agriculture Insurance Company of India Ltd MARKET VALUE Detail Regarding debt securities BOOK VALUE (Rs in Lakhs) As at March 31, 2018 as % of total for this class As at March 31, 2017 as % of total for this class As at March 31, 2018 As % of total for this class As at March 31, 2017 As % of total for this class Break down by credit rating AAA rated 442412.32 61.59% 410739.00 64.42% 436604.04 61.42% 397810.11 63.77% AA or better 73763.70 10.27% 54782.67 8.59% 72087.27 10.14% 53853.01 8.63% Rated below AA but above A 1017.99 0.14% 1000.00 0.14% Rated below A but above B 1008.78 0.14% 1000.00 0.14% Any other 200114.00 27.86% 172122.16 26.99% 200114.00 28.15% 172122.16 27.59% BREAKDOWN BY RESIDUALMATURITY Up to 1 year 334187.85 46.52% 295035.36 46.27% 333922.38 46.98% 294661.63 47.24% more than 1 yearand upto 3 years 158367.24 22.05% 107486.37 16.86% 154971.68 21.80% 104968.08 16.83% More than 3years and up to 7 years 216417.94 30.13% 143854.06 22.56% 212568.18 29.91% 138033.18 22.13% More than 7 years and up to 10 years 9343.76 1.30% 78468.53 12.31% 9343.07 1.31% 73404.94 11.77% above 10 years 0.00 0.00% 12799.50 2.01% 0.00 0.00% 12717.45 2.04% Breakdown by type of the issurer a. Central Government 205935.03 28.67% 208771.75 32.74% 203136.18 29.40% 203125.50 32.56% b. State Government 94154.52 13.11% 82643.78 12.96% 92127.6 13.33% 77595.01 12.44% c.corporate Securities 418227.24 58.22% 346228.30 54.30% 415541.53 57.26% 343064.77 55.00% Note 1. In case of a debt instrument is rated by more than one agency, then the lowest rating will be taken for the purpose of classification. 2. Market value of the securities will be in accordnace with the valuation method specified by the Authority under Accounting/ Investment regulations. 3. Corporate securities includes Investments in Coporate Bonds/Debts along with Fixed Deposit

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 Quarter Ended March 31,2018 Year Ended March 31,2018 Quarter Ended March 31,2017 Year Ended March 31,2017 1 Gross Direct Premium Growth Rate -18.00% 13.09% 125.08% 98.21% 2 Gross Direct Premium to Net Worth Ratio (In Times)* 0.46 2.35 0.67 2.52 3 Growth Rate of Net Worth* 21.53% 21.53% 13.25% 13.25% 4 Net Retention Ratio 22.24% 22.56% 22.16% 25.44% 5 Net Commission Ratio -16.47% -30.35% -38.58% -33.44% 6 Expenses of Management to Gross Direct Premium Ratio 3.03% 2.18% 2.39% 2.44% 7 Expense of Management to Net Written Premium Ratio 13.67% 9.66% 10.77% 9.56% 8 Net Incurred Claims to Net Earned Premium 137.63% 102.23% 240.76% 119.78% 9 Combined Ratio 134.12% 81.06% 212.16% 95.72% 10 Technical Reserves to Net Premium Ratio (in Times) 1.16 2.60 1.92 2.40 11 Underwriting Balance Ratio (in Times) -0.34 0.19-1.12 0.02 12 Operating Profit Ratio -15.48% 39.80% -94.77% 15.21% 13 Liquid Assets to Liabilities Ratio (in Times) 12.55 1.34 5.91 1.23 14 Net Earnings Ratio -8.24% 33.44% -54.51% 18.21% 15 Return on Net Worth* -0.83% 17.71% -8.15% 11.70% 16 Available Solvency Margin Ratio to Required Solvency Margin Ratio* 2.03 2.03 1.84 1.84 17 NPA Ratio 0.00 0.00 0.00 0.00 Equity Holding Pattern for Non-Life Insurers 1 (a) No. of shares 200000000.00 200000000.00 2 (b) Percentage of shareholding (Indian / Foreign) 100.00% 100.00% 3 ( c) %of Government holding (in case of public sector insurance companies) 100% held by Govt. 100% held by Govt. Corporation/Companies/Bank Corporation/Companies/Bank 4 (a) Basic and diluted EPS before extraordinary items (net of tax expense) for the period (not to be annualized) 5 (b) Basic and diluted EPS after extraordinary items (net of tax expense) for the period (not to be annualized) 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

PERIODIC DISCLOSURES FORM NL-31: Related Party Transactions Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 Related Party Transactions (Rs in Lakhs) Consideration paid / received* Sl.No. Name of the Related Party Nature of Relationship with the Company Description of Transactions / Categories Quarter Ended March 31,2018 Period Ended March 31,2018 Quarter Ended March 31,2017 Period Ended March 31,2017 1 General Insurance Corpn of India 58292.72 328451.96 64734.84 105921.84 2 General Insurance Corpn of India -713.97 295.56 870.22 870.22 3 New India Assurance Company Shareholder Reinsurance 12978.67 12978.67 6131.37 6384.16 4 National Insurance Company 5407.25 5407.25 2541.38 2892.74 5 Oriental Insurance Company 0.00 0.00 3395.33 3395.33 6 United India Insurance Company 4327.42 4327.42 2363.98 2363.98 *including the premium flow through Associates/ 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

PERIODIC DISCLOSURES FORM NL-32 Products Information Agriculture Insurance Company of India Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 Products Information List below the products and/or add-ons introduced during the period 31.03.2018 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 NIL NIL NIL NIL NIL NIL NIL

FORM NL-33 SOLVENCY MARGIN-KGII Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 SN SOLVENCY FOR THE YEAR ENDING 31ST MARCH, 2018 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 894762.17 of Assets as mentioned in Form IRDA-Assets-AA): Deduct: 2 Liabilities (reserves as mentioned in Form HG) 2 373724.79 3 Provision as per BS 3 89056.46 4 Other Liabilities (other liabilities in respect of 4 516033.49 Policyholders Fund as mentioned in Balance Sheet) 5 Excess in Policyholders Funds (1-2-3-4) 5 (84052.57) 6 Available Assets in Shareholders Funds (value of 6 343224.61 Assets as mentioned in Form IRDA-Assets-AA): Deduct: 7 Other Liabilities (other liabilities in respect of 7 6450.00 Shareholders Fund as mentioned in Balance Sheet) 8 Excess in Shareholders Funds (5-6) 8 336774.61 9 Total Available Solvency Margin [ASM] (5+8) 252722.04 10 Total Required Solvency Margin [RSM] 124728.60 11 Solvency Ratio (Total ASM/Total RSM) 2.03

FORM NL-34 For the year ending 31.03.2018 Board of Directors and Key Person information SN Name of Person Schedule Details of change in the period Board of Directors 1 Ms. T. L. Alamelu Chairman-cum-Managing Director Joined on 31st May 2017 Mr. R. N. Dubey Chairman-cum-Managing Director Ceased to hold office w.e.f. 31st May 2017 2 Mr. K. N. Bhandari Director No Change during the reported period 3 Prof. Gopal Naik Director Ceased to hold office w.e.f. 6th February 2018 4 Dr. A. K. Bhutani Director Joined on 22nd September 2017 5 Dr. N. S. Rao Director Joined on 22nd November 2017 6 Mr. Manish Gupta Director Ceased to hold office w.e.f. 22nd November 2017 7 Mr Alice G. Vaidyan Director Joined on 29th September 2016 8 Mr. M. K. Mudgal Director Joined on 6th June 2017 9 Dr. B. G. Mukhopadyay Director Ceased to hold office w.e.f. 6th June 2017 10 Mr. K. Santhkumar Director Joined on 10th August 2016 11 Mr. G. Srinivasn Director Joined on 27th October 2016 12 Mr. A. V. GirijaKumar Director Joined on 6th June 2017 13 Mr. Sujay Banarji Director Ceased to hold office w.e.f. 6th June 2017 14 Mr. M. N. Sarma Director Appointed on 22nd September 2017

FORM NL-35-NON PERFORMING ASSETS-7A AGRICULTURE INSURANCE COMPANY OF INDIA LIMITED Statement as on: March 31, 2018 Details of Investment Portfolio Periodicity of Submission : Quarterly COI Company Name Instrument Type % Interest Rate Has there been revision? Total O/s (Book Value) Default Principal (Book Value) Default Interest (Book Value) Principal Due from Interest Due from Deferred Principal Deferred Interest Rolled Over? Has there been any Principal Amount Board Approval Ref Classification Provision (%) Provision (Rs) NIL

FORM NL-36-YIELD ON INVESTMENTS AGRICULTURE INSUANCE COMPANY OF INDIA LIMITED Statement as on March 31, 2018 Statement of Investment and Income on Investment Periodicity of Submission: Quarterly Rs. Lakhs No. Investment (Rs.) Gross Net Investment (Rs.) Net Gross Yield Investment (Rs.) Income Yield Yield Income Yield (%)¹ (%)¹ (%)² (%)² Book Value Market Value* Book Value Market Value** Book Value Market Value A1 CENTRAL GOVERNMENT BONDS CGSB 1,19,400.72 1,22,970.03 2,380.43 7.97 5.21 1,20,348.52 1,25,798.37 9,586.07 7.97 5.21 1,24,250.25 1,28,928.60 9,890.57 7.96 5.21 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 0.00 0.00 0.00 0.00 0.00 A5 TREASURY BILLS CTRB 97,107.20 96,493.11 1,462.55 6.05 3.96 1,17,679.04 1,17,077.09 7,120.14 6.05 3.96 12,480.14 12,434.77 456.84 3.66 2.39 B1 STATE GOVERNMENT BONDS SGGB 92,157.65 95,193.52 1,896.22 8.31 5.44 86,022.95 90,621.89 7,152.36 8.31 5.44 71,853.49 76,084.73 6,145.65 8.55 5.59 C5 BONDS / DEBENTURES ISSUED BY HUDCO HTHD 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,000.00 1,004.97 60.35 6.04 3.95 C7 BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY HOUSING / BUILDING SCHEME APPROVED BY CENTRAL / STATE / ANY HTDA 49,174.48 49,886.14 1,020.68 8.34 5.45 46,397.29 47,332.40 3,870.34 8.34 5.45 33,556.07 34,299.93 3,097.26 9.23 6.04 AUTHORITY OR BODY CONSTITUTED BY CENTRAL / STATE ACT C8 BONDS / DEBENTURES ISSUED BY HUDCO HFHD 4,262.00 4,199.22 78.70 7.49 7.49 4,262.00 4,243.81 319.16 7.49 7.49 4,262.00 4,153.26 319.32 7.49 7.49 D08 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPTD 15,272.20 15,531.77 331.12 8.66 5.66 16,716.91 17,138.37 1,448.00 8.66 5.66 20,388.01 21,011.27 1,731.20 8.49 5.55 D10 INFRASTRUCTURE - OTHER CORPORATE SECURITIES - DEBENTURES/ BONDS ICTD 57,476.65 58,074.41 1,187.27 8.43 5.51 51,944.65 52,960.33 4,379.25 8.43 5.51 32,697.45 33,391.45 2,939.53 8.99 5.88 D13 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPFD 12,002.46 11,887.21 221.87 7.50 7.50 12,002.58 12,027.01 899.79 7.50 7.50 12,002.89 11,826.46 898.52 7.49 7.49 E1 PSU - EQUITY SHARES - QUOTED EAEQ 11,198.50 11,544.72 129.78 6.12 6.12 8,226.99 8,932.49 503.44 6.12 6.12 5,059.03 4,774.84 302.63 5.98 5.98 E17 DEPOSITS - DEPOSIT WITH SCHEDULED BANKS, FIS (INCL. BANK BALANCE AWAITING INVESTMENT), CCIL, RBI ECDB 1,23,655.68 1,23,655.68 2,919.48 7.47 4.89 1,24,480.67 1,24,480.67 9,301.51 7.47 4.89 1,95,341.46 1,95,341.46 15,081.76 7.72 5.05 E2 CORPORATE SECURITIES - EQUITY SHARES (ORDINARY)- QUOTED EACE 14,079.55 16,859.72 50.23 2.01 2.01 13,653.48 15,382.47 273.87 2.01 2.01 8,317.20 7,955.35 292.49 3.52 3.52 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 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2.64 0.00 0.00 E25 E26 Category of Investment PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY PSU BANKS PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY NON-PSU BANKS Category Code Current Quarter Year to Date Previous Year EUPD 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 EPPD 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 E30 MUTUAL FUNDS - GILT / G SEC / LIQUID SCHEMES EGMF 1,02,222.26 2,93,437.08 1,183.61 2.34 2.34 94,987.95 4,34,155.55 2,226.13 2.34 2.34 13,718.83 19,879.21 343.13 2.50 2.50 E6 CORPORATE SECURITIES - BONDS - (TAXABLE) EPBT 77,163.42 1,07,457.35 1,586.40 8.49 5.55 66,422.98 82,450.73 5,640.11 8.49 5.55 46,441.46 47,294.83 4,213.57 9.07 5.93 F12 EQUITY SHARES (PSUS & UNLISTED) OEPU 392.08 180.09 0.00-0.30-0.19 392.91 162.35-1.16-0.30-0.19 394.83 139.65 7.38 1.87 1.87 F14 MUTUAL FUNDS - DEBT / INCOME / SERIAL PLANS / LIQUID SECEMES OMGS 0.00 0.00 0.00 2.07 2.07 84,115.15 13,34,875.44 1,744.01 2.07 2.07 29,789.73 31,190.18 1,055.16 3.54 3.54 F01 BONDS - PSU - TAXABLE OBPT 2,000.00 2,026.77 0.53 0.03 0.02 2,000.00 2,026.77 0.53 0.03 0.02 500.42 504.34 33.05 6.60 4.32 Income Gross Yield (%)¹ Net Yield (%)² PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) EETF 498.46 475.31 0.00 0.00 0.00 497.60 469.18 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL 7,78,063.31 10,09,872.15 14,448.86 7.44 4.87 8,50,151.66 24,70,134.92 54,463.55 7.44 4.87 6,12,053.25 6,30,215.31 46,871.04 7.66 5.19

FORM NL-37-DOWN GRADING OF INVESTMENT AGRICULTURE INSURANCE COMPANY OF INDIA LIMITED Statement as on: March 31, 2018 Statement of Down Graded Investments Periodicity of Submission: Quarterly 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 10.50% RIL NCB 27-07-2018 OBPT 10.00 31-03-2012 CRISIL AA+ BBB+ 31-03-2018 8.75% SAIL NCB 23-04-2020 OBPT 10.00 31-03-2012 CARE AA AA- 31-03-2018 9.45% RCL NCD 23-04-2018 EPBT 10.00 23-04-2013 CARE AAA AA+ 31-03-2018 B. As on Date ² 8.75% SAIL NCB 23-04-2020 EPBT 10.00 31-03-2012 CARE AA+ AA 01-07-2017

PERIODIC DISCLOSURES FORM NL-38 Quarterly Business Returns across line of Business Agriculture Insurance Company of India Ltd. Quarterly Business Returns across line of Business (Rs. In Lakhs) Quarter Ended March 31,2018 Quarter Ended March 31,2017 Period Ended March 31,2018 Period Ended March 31,2017 Sl.No. Line of Business Premium No. of Policies Premium No. of Policies Premium No. of Policies Premium No. of Policies 1 Fire 2 Cargo & Hull 3 Motor TP 4 Motor OD 5 Engineering 6 Workmen's Compensation 7 Employer's Liability 8 Aviation 9 Personal Accident 10 Health 11 Others* 153032.33 1689177 193296.41 3273255 789339.01 11733431 697956.12 6543388 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

PERIODIC DISCLOSURES FORM NL-39: Rural & Social Obligations (Quarterly Returns) Agriculture Insurance Company of India Ltd. Rural & Social Obligations (Quarterly Returns) (Rs in Lakhs) Sl.No. Line of Business Particular No. of Policies Issued Premium Collected Sum Assured 1 Fire 2 Cargo & Hull 3 Motor TP 4 Motor OD 5 Engineering 6 Workmen's Compensation 7 Employer's Liability 8 Aviation 9 Personal Accident 10 Health 11 Others* *any other segment contributing more than 5% needs to be shown separately Rural Social Rural Social Rural Social Rural Social Rural Social Rural Social Rural Social Rural Social Rural Social Rural Social Rural 11733431 789339.01 12480327.78 Social

No. of Sl.No. Channels 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 179941 17885.54 576761 16682.17 921874 22387.28 596153 17515.76 5 Micro Agents 27978 2150.76 27827 3482.57 96683 4998.23 28957 3603.54 6 Direct Business -677853-22542.51 11814-19286.57 121112 5983.64 52164 127700.41 7 Other 2159111 155538.54 2656853 192418.24 10593762 755969.86 5866114 549136.40 Total (A) 1689177 153032.33 3273255 193296.41 11733431 789339.01 6543388 697956.12 1 Referral (B) Grand Total (A+B) 1689177 153032.33 3273255 193296.41 11733431 789339.01 6543388 697956.12 Note: 1. Premium means amount of premium received from business acquired by the source 2. No of Policies stand for no. of policies sold PERIODIC DISCLOSURES FORM NL-40: Business Acquisition through different channels Agriculture Insurance Company of India Ltd. Business Acquisition through different channels Quarter ended March Year ended March 31, Quarter ended March 31, 2017 31, 2018 2018 Year ended March 31, 2017

SN Particulars FORM NL-41 Grievance Disposal Insurer - GRIEVANCE DISPOSAL STATEMENT AS on 31.03.2018 Opening Balance as on begining of the quarter Additions during the quarter Complaints Resolved/setteled 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 a) Proposal Related 0 0 0 0 0 0 0 b) Claim 29 132 13 6 106 36 940 c) Policy Related 0 0 0 0 0 0 0 d) premium 0 0 0 0 0 0 1 e) Refund 0 1 0 0 1 0 1 f) Coverage 0 1 0 0 1 0 6 g) Cover Note related 0 0 0 0 0 0 1 h) Products/Scheme 0 0 0 0 0 0 3 i) others 2 90 2 0 90 0 223 Total Number 31 224 15 6 198 36 1175 2 Total No. of Policies during Previous year 3 Total No. of Claims during Previous 4 5 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 Total No. of Claims Complaints (Current year ) per 10,000/-claims registered (current year) NA NA NA NA NA NA 8 Duration wise Pending Status FY 2017-18 as on 31.03.2018 Complaints made by the Customer Complaints made by intermediaries a) < 15 days 5 0 5 b) 16-30days 3 0 3 c) >30 days 28 0 28 Total Number 36 0 36 Total