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FORM NL-1-B-RA Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 REVENUE ACCOUNT FOR THE PERIOD ENDED SEPTEMBER 30, 2017 SN Particulars Schedule Quarter Ended September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 (Rs. in '000) 1 Premium Earned (Net) NL-4- Premium Schedule 11136530 12334238 10315655 12152456 2 Profit/Loss on Sale/Redemption of Investments 1248 32013 4928 12506 3 Accretion of Discount on Investment 182311 341911 5132 12390 4 Interest, Dividend & Rent -Gross 621509 1529795 648613 1341461 TOTAL (A) 11941598 14237957 10974328 13518813 1 Claims Incurred (Net) NL-5-Claim Schedule 12241718 11322324 12272359 14022042 2 Commission NL-6- Commission Schedule (4141331) (4141717) (3681286) (3702656) 3 Operating Expenses related to Insurance Business NL-7- Operating Expense Schedule 549373 807491 633728 928548 4 Premium Deficiency 0 0 0 5 Bank Interest 2725 2725 26337 38546 6 Expenses related to Investments : a) Amortization of Premium on Investments 8212 18434 4826 9426 b) Stock Holding Charges 201 822 184 599 c) Bank Interest & Charges 0 0 0 0 d) Other expenses related to investment 0 48 12 28 TOTAL (B) 8660898 8010127 9256160 11296533 Operating Profit from Crop Insurance Business C=(A-B) 3280700 6227830 1718168 2222280 APPROPRIATIONS Transfer to Shareholders' Account 3280700 6227830 1718168 2222280 Transfer to Catastrophe Reserve 0 0 0 0 Transfer to Other Reserves 0 0 0 0 TOTAL 3280700 6227830 1718168 2222280

FORM NL-1-B-PL Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 PROFIT AND LOSS ACCOUNT FOR THE PERIOD ENDED SEPTEMBER 30, 2017 SN Particulars Schedule Quarter Ended September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 1 OPERATING PROFIT/(LOSS) (a) Fire Insurance (b) Marine Insurance (c ) Misc. Insurance-Crop 3280700 6227830 1718168 2222280 2 INCOME FROM INVESTMENTS (a) Interest, Dividend & Rent Gross 402284 647141 456152 943412 (b) Profit on sale of investments 5249 13542 3466 8795 Less: Loss on sale of investments c) Accretion of Discount on 101612 144637 3609 8714 3 OTHER INCOME a) Miscellaneous Receipts 50896 77214 926 1896 b) Income from administration of outgoing Co-insurance Business (255) 128186 128316 c) Profit on sale of Fixed Assets 292 292 0 0 TOTAL (A) 3840777 7110656 2310508 3313413 4 PROVISIONS (Other than taxation) (a) For Diminution in the value of investments (Rs. in '000) 0 0 0 0 (b) For Doubtful debts 0 0 0 0 (c) Others- Provision for Loyalty 0 0 0 0 Discount (d) Provision for standard asset 0 (180665) (7238) (5922) 5 OTHER EXPENSES (a) Expenses other than those related to Insurance Business i) Amortisation of Premium on Investments 5043 7798 3393 6629 ii) Stock Holding Charges 180 348 129 421 iii) Bank Charges iv) Other expenses related to investment 7 20 9 20 (b) Bad debts written off (c) Others i) Loss on sale of Fixed Assets 0 0 3127 3127 ii) Prior Period Expenses 0 0 2 32 iii) Corporate Social Responsibility 11479 14309 10552 21209 iv) Other 0 0 0 5 TOTAL (B) 16710 (158190) 9974 25521 Profit Before Tax (C=A-B) 3824067 7268846 2300533 3287892 Provision for Taxation 1246805 2324790 780079 1100736 APPROPRIATIONS (a) Interim dividends paid during the year (b) Proposed final dividend (c) Dividend distribution tax Profit After Tax (D) 2577262 4944056 1520455 2187156 0 0 0 0 0 0 0 0 0 0 0 0 (d) Corporate social responsibility 0 0 0 0 (e) Transfer to any Reserves or Other 0 0 0 0 Balance of profit/ loss brought forward from Balance carried forward to Balance Sheet 2577263 4944056 1520455 2187156

FORM NL-3-B-BS BALANCE SHEET AS AT SEPTEMBER 30,2017 Particulars SOURCES OF FUNDS SHARE CAPITAL Schedule NL-8-Share Capital Schedule As at September 30,2017 As at September 30,2016 (Rs. in '000) 2000000 2000000 SHARE APPLICATION MONEY PENDING ALLOTMENT RESERVES AND SURPLUS FAIR VALUE CHANGE ACCOUNT NL-10-Reserves and Surplus Schedule 32616669 26622088 220297 (102155) DEFERRED TAX LIABILITY 2424 14105 BORROWINGS NL-11-Borrowings 0 0 Schedule TOTAL 34839390 28534038 APPLICATION OF FUNDS INVESTMENTS LOANS FIXED ASSETS DEFERRED TAX ASSET CURRENT ASSETS CASH AND BANK BALANCES ADVANCES AND OTHER ASSESTS NL-12-Investment Schedule NL-13-Loans Schedule NL-14-Fixed Assets Schedule NL-15-Cash and bank Balance Schedule NL-16-Advances and Other Assets Schedule 71104748 57653054 83123 37910 1774275 515392 8927647 30626776 45952686 47934690 Sub-Total (A) 54880334 78561466 CURRENT LIABILITIES NL-17-Current 82866112 96788815 Liabilities Schedule PROVISIONS NL-18-Provisions 10136977 11444968 Schedule DEFERRED TAX LIABILITY Sub-Total (B) 93003090 108233783 NET CURRENT ASSETS (C) = (38122756) (29672317) (A - B) MISCELLANEOUS NL-19-0 0 EXPENDITURE (to the extent not written off or adjusted) Miscellaneous Expenditure Schedule DEBIT BALANCE IN PROFIT AND LOSS ACCOUNT 0 0 TOTAL 34839390 28534038

FORM NL- 4 - PREMIUM SCHEDULE PREMIUM EARNED (NET) Particulars Premium from Direct Business written(net of Service Tax) Add: Premium on reinsurance accepted Less : Premium on reinsurance ceded Quarter Ended September 30,2017 Period Ended September 30,2017 (Rs in '000) Quarter Ended September 30,2016 Period Ended September 30,2016 54830327 55232095 43147083 45568206 0 86989 0 0 42486787 42797599 33217514 33421166 Net Premium 12343540 12521485 9929569 12147040 Adjustment for change in reserve for unexpired risks (1207010) (187247) 386086 5416 Premium Earned (Net) 11136530 12334238 10315655 12152456

FORM NL-5 - CLAIMS SCHEDULE CLAIMS INCURRED [NET] Particulars Quarter Ended September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 (Rs in '000) Claims Paid - Direct 13041482 34021980 7881020 15514098 Add: Reinsurance Accepted 0 7157 0 0 Less:Reinsurance Ceded 8069702 23033601 5396047 7050127 Net Claims paid 4971780 10995536 2484973 8463971 Add: Claims Outstanding at the end of the current year 33922358 118728156 45383990 90783774 Add: Reinsurance Accepted (1823) 85013 0 0 Less: Reinsurance Ceded 26650596 84766961 35596605 58535656 Net Claims Outstanding at the end of Current year 7269938 34046208 9787386 32248118 Less :Claims Outstanding at the beginning 0 108486297 0 52326983 Add: Reinsurance Accepted 0 16393 0 0 Less: Reinsurance Ceded 0 74783270 0 25636936 Net Claims Outstanding at the beginning 0 0 0 26690047 Gross Incurred Claims 46963839 44263839 53265010 53970889 Add: Re-insurance accepted to direct claims (1823) 75777 0 0 Less: Re-insurance Ceded to claims paid 34720298 33017292 40992652 39948847 Total Claims Incurred 12241718 11322324 12272359 14022042

FORM NL-6 COMMISSION SCHEDULE COMMISSION Particulars Quarter Ended September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 (Rs in '000) Direct 107987 119445-33 259 Add: Re-insurance Accepted 0 21290 0 0 Less: Commission on Re-insurance Ceded 4249318 4282452 3681253 3702915 Net Commission (4141331) (4141717) (3681286) (3702656) Break-up of the expenses (Gross) incurred to procure business to be furnished as per details indicated below: Agents 0 0 0 0 Brokers 93098 104540 10 182 Corporate Agency 10376 10376 0 Others: (i) Micro Insurance Agents/NGO's etc 4512 4529-42 59 (ii) Service Charges to Banks 0 0 (iii) Reimbursement to GIPSA Companies (Coinsurance-Tie Up) 0 0-1 18 iv) Insurance Commission to others 0 0 0 TOTAL (B) 107986 119445 (33) 259

FORM NL-7 OPERATING EXPENSES SCHEDULE OPERATING EXPENSES RELATED TO INSURANCE BUSINESS SN Particulars Quarter Ended September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 (Rs in '000) 1 Employees' Remuneration & Welfare benefits 69178 172861 64683 250949 2 Travel, conveyance and vehicle running expenses 10762 16825 9698 16175 3 Training expenses 682 880 775 841 4 Rents, rates & taxes 27087 53422 27831 47912 5 Repairs 2527 5208 2955 4889 6 Printing & Stationery 2281 4124 6429 8038 7 Communication 2009 3868 2730 4200 8 Legal & Professional Charges 2887 4656 2464 3611 9 Auditor's Fees, Expenses etc 0 0 (a) as auditor 1375 2812 512 639 (b) as adviser or in any other capacity, in (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 9854 12487 9738 18265 11 Research & Development Expenses 28 28 2427 2427 12 Fee & Subscription to Statutory Authorities 7166 12391 16941 21772 13 Interest & Bank Charges 40584 40611 4 48 14 Depreciation 27336 53771 34205 59890 15 Information Technology 1196 49806 63025 89756 16 Service charges to Banks/FI's 307606 318966 373901 375717 17 Other 36813 54775 15410 23419 Total 549373 807491 633728 928548

FORM NL-8 - SHARE CAPITAL SCHEDULE SHARE CAPITAL SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) 1 Authorised Capital 15000000 15000000 Equity Shares of Rs 10 each 2 Issued Capital 2000000 2000000 Equity Shares of Rs.10 each 3 Subscribed Capital 2000000 2000000 Equity Shares of Rs.10 each 4 Called-up Capital 2000000 2000000 Equity Shares of Rs.10 each Less : Calls unpaid 0 0 Add : Equity Shares forfeited (Amount originally paid up) 0 0 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 certified by the Management] Shareholder Promoters Indian General Insurance Corporation of India As at September 30,2017 Number of Shares ('000) % of Holding As at September 30,2016 Number of Shares ('000) % of Holding 70000 35% 70000 35% National Agriculture Bank for Rural Development 60000 30% 60000 30% National Insurance Company Ltd.& its nominee 17500 8.75% 17500 8.75% The New India Assurance Company Ltd. & its nominee 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% Foreign NIL NIL NIL NIL Others 0 0 0 0 TOTAL 200000 100% 200000 100%

FORM NL-10 - RESERVES AND SURPLUS SCHEDULE RESERVES AND SURPLUS SN Particulars As at September 30,2017 As at September 30,2016 (Rs in '000) 1 Capital Reserve 0 0 0 0 2 Capital Redemption Reserve 0 0 0 0 3 Share Premium 0 0 0 0 4 General Reserve Opening Balance 27672613 24434932 Less: Charge on account of transitional provisions under Accounting Standard 15 Add: Profit transferred during the year 27672613 24434932 5 Catastrophe Reserve 0 0 6 Other Reserves 0 0 Balance of Profit in Profit & Loss Account 4944056 2187156 TOTAL 32616669 26622088

FORM NL-11 - BORROWINGS SCHEDULE BORROWINGS SN Particulars As at September 30,2017 As at September 30,2016 (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

FORM NL-12 - INVESTMENT SCHEDULE-SHAREHOLDERS Registration No. 126 and Date of Registration with the IRDA: 30.10.2003 INVESTMENTS SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) LONG TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills 11342996 11642462 2 Other Approved Securities 9164573 6956394 3 Other Investments ( a) Shares (aa) Equity 2283031 1203206 (bb) Preference ( b) Mutual Funds (c) Derivative Instruments (d) Debentures/ Bonds 10191206 5999147 (e) Other Securities-Tier II Bonds (f) Subsidiaries (g) Investment Properties-Real Estate 4 Investments in Infrastructure and Social Sector 7635746 4556997 5 Other than Approved Investments 15389 13899 Sub-total (A) 40632942 30372105 SHORT TERM INVESTMENTS 1 Government securities and Government guaranteed bonds including Treasury Bills 11990876.58 580304 2 Other Approved Securities 60475.12384 81090 3 Other Investments (a) Shares (aa) Equity (bb) Preference (b) Mutual Funds 6498633.416 1315271 (c) Derivative Instruments (d) Debentures/ Bonds 1625021.382 2150000 (e) Other Securities (Commercial Papers) 10231733 19016050 (f) Subsidiaries (g) Investment Properties-Real Estate 4 Investments in Infrastructure and Social Sector 65064.55673 1262605 5 Other than Approved Investments 0 2875629 Sub-total (B) 30471806 27280949 TOTAL 71104748 57653054

FORM NL-13 LOANS SCHEDULE LOANS SN Particulars As at September 30,2017 As at September 30,2016 (Rs. in '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 83123 37910 Unsecured 0 0 TOTAL 83123 37910 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) 83123 37910 TOTAL 83123 37910 3 PERFORMANCE-WISE CLASSIFICATION (a) Loans classified as standard (aa) In India 83123 37910 (bb) Outside India 0 0 (b) Non-performing loans less provisions (aa) In India 0 0 (bb) Outside India 0 0 TOTAL 83123 37910 4 MATURITY-WISE CLASSIFICATION (a) Short Term 0 0 (b) Long Term 83123 37910 TOTAL 83123 37910

FORM NL-14 - FIXED ASSETS SCHEDULE Particulars Opening as at April, 1,2017 FIXED ASSETS Cost/Gross Block Additions Deductions Closing as at September 30,2017 Up to Last Year For the Period Depreciation On sale Transferred to /adjustment Retained Earning Upto September 30,2017 As at September 30,2017 Net Block As at September 30,2016 Goodwill Intangibles (Computer Software) 466066 384 466450 338742 34223 0 0 372965 93485 127324 Land-Freehold 0 0 0 0 0 0 0 Leasehold Property 0 0 0 0 0 0 0 Buildings 364494 6925 371419 79925 7129 0 0 87054 284365 284569 Furniture & Fittings 16946 217 17163 12236 599 0 0 12835 4328 4710 Information Technology Equipment 161248 5588 236 166599 132712 8140 369.4068 0 140482 26117 28536 Vehicles 32552 5867 1856 36562 17382 2721 1196.3665 0 18907 17655 15170 Office Equipment 11028 614 108 11534 8824 414 20.76041 0 9217 2317 2204 Electrical Equipment & Fittings 9923 382 10305 6889 434 0 0 7323 2982 3034 Work In Progress 582731 760404 1343135 0 110 0 0 110 1343025 582731 GRAND TOTAL 1644988 780380 2200 2423169 596710 53770 1586 0 648894 1774275 1048278 PERIOD ENDED 30.09.2016 1095975 600387 51374 1644988 521488 122560 47339 0 596710 1048278 -

FORM NL-15 - CASH AND BANK BALANCES SCHEDULE CASH AND BANK BALANCES SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) 1 Cash (including cheques, drafts and stamps) 56 1086 2 Bank Balances (a) Deposit Accounts (aa) Short term (due within 12 months) (i) Govt. A/c with IDBI Bank 7120846 30517686 (ii) Others (b) (i) Current Accounts 68134 108004 (ii) Others 1738611 0 3 Money at Call and Short Notice (a) With Banks 0 0 (b) With other Institutions 0 0 4 Others 0 0 TOTAL 8927647 30626776

FORM NL-16 - ADVANCES AND OTHER ASSETS SCHEDULE ADVANCES AND OTHER ASSETS SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) ADVANCES 1 Reserve deposits with ceding companies 0 0 2 Application money for investments 0 0 3 Prepayments 18279 5571 4 Advances to Directors/Officers 3958 2773 5 Advance tax paid and taxes deducted at source (Net of provision for taxation) 1775965 2061086 6 Others: (a) Advance Rent paid 612 3448 (b) Sundry Advances 20052 32252 Less: Provision for premium defalcation (17833) (17833) TOTAL (A) 1801033 2087297 OTHER ASSETS 1(a) Income accrued on investments Accrued but not due 1494264 1772655 Accrued and due 23824 0 1(b) Income accrued on Flexi deposit 115295 0 2 Outstanding Premiums 0 0 3 Agents Balances 0 0 4 Due from other entities carrying on insurance business(including reinsurers) 0 0 5 Due from subsidiaries/ holding 5379406 9365439 6 Others: 0 0 a) Sundry Deposits 89257 53088 b) Advance against Capital Assets 859612 902619 c) Short Collection 32873 57167 d) Others (Adhoc payment to Govt. of India) 2000000 2000000 e) Government Balances (Centre/States/Uts/Coffee Board) 34135880 31675187 f) Service Tax Unutilized Credit 21242 21238 TOTAL (B) 44151653 45847393 GRAND TOTAL (A+B) 45952686 47934690

FORM NL-17 - CURRENT LIABILITIES SCHEDULE CURRENT LIABILITIES SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) 1 Agents Balances 0 0 2 Balances due to other insurance companies 42949886 47170159 3 Deposits held on re-insurance ceded 0 0 4 Premiums received in advance 0 0 5 Unallocated Premium 0 0 6 Sundry Creditors 1604011 1168631 7 Due to subsidiaries/ holding company 8 Claims Outstanding 33219130 32248118 9 Due to Officers/ Directors 0 0 10 Others: a) Excess Collection of Premium 413906 856484 b) Expenses Payable 598542 60968 c) Earnest Money Deposit 3953 3215 d) Government (Centre/States/UTs/Coffee Board) 1579059 15243016 11 Unclaimed Amount of policyholders 2497625 38224 TOTAL 82866112 96788815

FORM NL-18 - PROVISIONS SCHEDULE PROVISIONS SN Particulars As at September 30,2017 As at September 30,2016 (Rs. 000) 1 Reserve for Unexpired Risk 9076832 11134819 2 For taxation (less advance tax and TDS) 850300 0 3 For Proposed Dividends 0 0 4 For Dividend Distribution Tax 0 0 5 Others: (i) Provision for Retirement Benefits 182256 159794 (ii) Provision for Doubtful Debts 47 47 (iii) Provision on Standard Assets 0 133116 (iv) Provision for Loyalty Discount 8 8 (v) Provision for Outstanding Expenses 21812 7000 (vi) Provision for Purchase 5722 10184 (vii) Reserve for Premium Deficiency TOTAL 10136977 11444968

FORM NL-19 - MISCELLANEOUS EXPENDITURE SCHEDULE MISCELLANEOUS EXPENDITURE (To the extent not written off or adjusted) SN Particulars As at September 30,2017 As at September 30,2016 1 Discount Allowed in issue of shares/ debentures 2 Others : (i) Research & Development Expenses (Rs. 000) 0 0 0 0 (ii) Preliminary Expenses 0 0

FORM NL-21 - STATEMENT OF LIABILITIES STATEMENT OF LIABILITIES Period Ended September 30, 2017 Period Ended September 30, 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 4 Others a Health Insurance b Crop Insurance 90768 105694 234768 431230 78698 150751 117011 346461 5 Total Liabilities 90768 105694 234768 431230 78698 150751 117011 346461

FORM NL-22 GEOGRAPHICAL DISTRIBUTION OF BUSINESS GROSS UNDERWRITTEN PREMIUM FOR AND UPTO THE QUARTER ENDED SEPTEMBER 30,2017 (Rs. in Lakh) STATES Crop Insurance Grand Total For the Quarter Upto the Quarter For the Quarter Upto the Quarter Andhra Pradesh 23619.96 23696.41 23619.96 23696.41 Arunachal Pradesh 0.00 0.00 0.00 0.00 Assam 0.12 0.12 0.12 0.12 Bihar 36622.75 36622.75 36622.75 36622.75 Chhattisgarh -0.02-0.35-0.02-0.35 Goa 0.00 0.00 0.00 0.00 Gujarat 86508.18 86509.69 86508.18 86509.69 Haryana 0.00 0.00 0.00 0.00 Himachal Pradesh 225.23 1207.15 225.23 1207.15 Jammu & Kashmir 0.00 0.00 0.00 0.00 Jharkhand 0.00 0.01 0.00 0.01 Karnataka 30470.59 30560.93 30470.59 30560.93 Kerala 763.39 785.76 763.39 785.76 Madhya Pradesh 150048.42 150267.81 150048.42 150267.81 Maharasthra 98700.66 98701.46 98700.66 98701.46 Manipur 0.00 0.00 0.00 0.00 Meghalaya 0.00 0.00 0.00 0.00 Mizoram 0.00 0.00 0.00 0.00 Nagaland 0.00 0.00 0.00 0.00 Orissa 14857.38 14857.38 14857.38 14857.38 Punjab 0.00 0.00 0.00 0.00 Rajasthan 79680.76 80494.22 79680.76 80494.22 Sikkim 0.00 0.00 0.00 0.00 Tamil Nadu 1246.54 2305.63 1246.54 2305.63 Telangana 8148.84 8148.84 8148.84 8148.84 Tripura 0.00 0.00 0.00 0.00 Uttar Pradesh 386.94 1286.66 386.94 1286.66 Uttrakhand 240.78 3284.51 240.78 3284.51 West Bengal 16782.76 13591.96 16782.76 13591.96 Andaman & Nicobar Is. 0.00 0.00 0.00 0.00 Chandigarh 0.00 0.00 0.00 0.00 Dadra & Nagra Haveli 0.00 0.00 0.00 0.00 Daman & Diu 0.00 0.00 0.00 0.00 Delhi 0.00 0.00 0.00 0.00 Lakshadweep 0.00 0.00 0.00 0.00 Puducherry 0.00 0.00 0.00 0.00 Total 548303.27 552320.95 548303.27 552320.95

PERIODIC DISCLOSURES FORM NL-23 Agriculture Insurance Company of India Ltd. for the Quarter ending September 30,2017 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 14404.81 1384.41 0.00 3.69 3 No. of Reinsurers with rating A but less than AA 42 68001.68 4383.76 0.00 16.91 4 No. of Reinsurers with rating BBB but less than A 2 1650.92 104.41 0.00 0.41 5 No. of Reinsurers with rating less than BBB 0 0.00 0.00 0.00 0.00 6 No. of Indian Reinsurers 10 330129.67 7914.25 2.09 78.99 Total 60 414187.08 13786.83 2.09 100.00

PERIODIC DISCLOSURES FORM NL-24 AGEING OF CLAIMS Agriculture Insurance Company of India Ltd. Ageing of Claims for the Quarter ending September 30,2017 Total No. of claims paid (Rs in Lakhs) Total amount of claims paid Sl.No. Line of Business No. 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 291130 582273 48004 361611 912456 2195474 130402 12 Miscellaneous

PERIODIC DISCLOSURES FORM NL-25 Quarterly claims data for Non-Life Agriculture Insurance Company of India Ltd. CIN :U74999DL2002PLC118123 Quarterly claims data for the quarter ending September 30,2017 No. of claims only Sl. No. Claims Experience Crop Total 1 Claims O/S at the beginning of the period 5977609 5977609 2 Claims reported during the period 859006 859006 3 Claims Settled during the period 2195474 2195474 4 Claims Repudiated during the period 0 0 5 Claims closed during the period 59278 59278 6 Claims O/S at End of the period 4581863 4581863 Less than 3months 914304 914304 3 months to 6 months 909937 909937 6months to 1 year 347255 347255 1year and above 2410367 2410367

FORM NL-26- CLAIMS INFORMATION -KG TABLE I PREMIUM CLAIMS (Rs. in Lakh) SN Description Gross Premium Net Premium Gross incurred Claims Net incurred Claims 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 796335 181536 740618 212925 79634 111093 111093 9 Health Total 796335 181536 740618 212925 79634 111093 111093

Sl. No. PERIODIC DISCLOSURES FORM NL-27 Agriculture Insurance Company of India Ltd Office Information as on September 30,2017 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 6 7 8 9 No. of branches closed during the year No of branches at the end of the year No. of branches approved but not opened No. of rural branches No. of urban branches 0 20 0 0 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: September 30,2017 Statement of Investment Assets (General Insurer, Re-insurers) (Business within India) Periodicity of Submission: Quarterly (Rs. in Lakh) No PARTICULARS SCH AMOUNT 1 8 711044.78 Investments 2 Loans 9 831.23 3 Fixed Assets 10 17742.75 4 Current Assets a. Cash & Bank Balance 11 89276.47 b. Advances & Other Assets 12 459526.86 5 Current Liabilities a. Current Liabilities 13 828661.12 b. Provisions 14 101369.77 c. Misc. Exp not Written Off 15 0.00 d. Debit Balance of P&L A/c 0.00 Application of Funds as per Balance Sheet (A) 2208452.98 Rs. In Lakhs Less: Other Assets SCH AMOUNT 1 Loans (if any) 9 831.23 2 Fixed Assets (if any) 10 17742.75 3 Cash & Bank Balance (if any) 11 89276.47 4 Advances & Other Assets (if any) 12 459526.86 5 Current Liabilities 13 828661.12 6 Provisions 14 101369.77 7 Misc. Exp not Written Off 15 0.00 8 Debit Balance of P&L A/c 0.00 TOTAL (B) 1497408.20 'Investment Assets' As per FORM 3B (A-B) 711044.78 SH PH Book Value (SH + PH) % Actual FVC Amount Total *Market Value No 'Investment' represented as Reg. % Balance FRSM + (h) (a) (b) (c) d = (b+c) (e) (f) g= (d + f) 1 G. Sec. Not less than 20% 0 69371.60 163967.12 233338.73 32.92% 0 233338.73 239390.53 2 G. Sec or Other Apporved Sec. (incl. (1) above) Not less than 30% 0 96797.67 228791.54 325589.21 45.93% 0 325589.21 336627.63 3 Investment subject to Exposure Norms 1.'Housing & Loans to SG for Housing and FFE, Infrastructure Investments Not less than 15% 0 38381.13 90717.87 129099.00 18.21% 0 129099.00 132443.31 2. Approved Investments Not exceeding 55% 0 75443.30 178318.23 253761.54 35.80% 2441.15 256202.69 286665.26 3. Other Investments (not exceeding 25%) Not exceeding 25% 0 116.56 275.51 392.08 0.06% -238.19 153.89 153.89 Total Investment Assets 100.00% 0 210738.67 498103.14 708841.82 100.00% 2202.97 711044.78 755890.08 *All securities are considered to be on the basis of 'Held to Maturity'.

As at as % of total September 30 for this class,2017 PERIODIC DISCLOSURES FORM NL-29 Agriculture Insurance Company of India Ltd Detail Regarding debt securities MARKET VALUE As at As at as % of total for this September September class 30,2016 30,2017 As % of total for this class BOOK VALUE As at September 30,2016 (Rs in Lakhs) As % of total for this class Break down by credit rating AAA rated 472098.49 70.68% 302441.07 56.24% 457877.25 73.49% 288527.94 55.17% AA or better 93506.40 14.00% 44683.05 8.31% 62882.34 10.09% 43762.05 8.37% Rated below AA but above A Rated below A but above B 504.00 0.09% 500.33 0.10% Any other 102314.66 15.32% 190160.50 35.36% 102314.66 16.42% 190160.50 36.36% BREAKDOWN BY RESIDUALMATURITY Up to 1 year 239984.38 35.93% 231955.69 43.13% 239729.04 38.48% 231400.82 44.25% more than 1 yearand upto 3 years 169572.22 25.39% 77624.37 14.43% 137024.33 21.99% 75684.00 14.47% More than 3years and up to 7 years 170717.58 25.56% 123900.76 23.04% 163200.93 26.19% 118828.18 22.72% More than 7 years and up to 10 years 77878.57 11.66% 82630.30 15.36% 73684.88 11.83% 76634.90 14.65% above 10 years 9766.80 1.46% 21677.50 4.03% 9435.07 1.51% 20402.92 3.90% Breakdown by type of the issurer a. Central Government 239390.53 35.84% 128457.01 23.89% 233338.74 37.45% 122227.67 23.37% b. State Government 97237.10 14.56% 75513.12 14.04% 92250.48 14.81% 70374.84 13.46% c.corporate Securities 331291.92 49.60% 333818.49 62.07% 297485.03 47.74% 330348.31 63.17% 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.

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 September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 1 Gross Direct Premium Growth Rate 27.08% 21.21% 141.56% 134.52% 2 Gross Direct Premium to Net Worth Ratio (In Times)* 1.68 1.69 1.62 1.71 3 Growth Rate of Net Worth* 32.44% 22.52% 20.92% 32.97% 4 Net Retention Ratio 22.51% 22.64% 23.01% 26.66% 5 Net Commission Ratio -33.55% -33.08% -37.10% -30.48% 6 Expenses of Management to Gross Direct Premium Ratio 1.20% 1.68% 1.48% 2.04% 7 Expense of Management to Net Written Premium Ratio 5.33% 7.40% 6.44% 7.65% 8 Net Incurred Claims to Net Earned Premium 109.92% 91.80% 119.00% 115.38% 9 Combined Ratio 80.82% 65.17% 88.36% 92.55% 10 Technical Reserves to Net Premium Ratio (in Times) 3.50 3.45 0.95 3.57 11 Underwriting Balance Ratio (in Times) 0.22 0.35 0.12 0.07 12 Operating Profit Ratio 39.42% 50.67% 18.12% 18.69% 13 Liquid Assets to Liabilities Ratio (in Times) 0.45 0.91 3.15 1.33 14 Net Earnings Ratio 20.88% 39.48% 15.53% 18.01% 15 Return on Net Worth* 7.90% 15.16% 5.79% 8.22% 16 Available Solvency Margin Ratio to Required Solvency Margin Ratio* 2.59 1.56 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) ( c) %of Government holding (in case of public sector insurance 3 companies) (a) Basic and diluted EPS before extraordinary items (net of tax expense) 4 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) 200000000 100% 100% held by Govt. Corporation/Companies/Bank 24.72 10.94 Rs. 10/- Per Share

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 September 30,2017 Period Ended September 30,2017 Quarter Ended September 30,2016 Period Ended September 30,2016 1 General Insurance Corpn of India 0 149631.11 724.94 3488.87 2 General Insurance Corpn of India 3.43 869.89 0.00 0.00 3 New India Assurance Company 0 0 252.79 252.79 Shareholder Reinsurance 4 National Insurance Company 0 0 0 0 5 Oriental Insurance Company 0 0 0 0 6 United India Insurance Company 0 0 0 0 *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 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

SN Description Notes No. Amount (1) (2) (3) (4) 1 Available Assets in Policyholders Funds (adjusted value 1 955984 of Assets as mentioned in Form IRDA-Assets-AA): Deduct: FORM NL-33 SOLVENCY MARGIN SOLVENCY FOR THE PERIOD ENDING SEPTEMBER 30,2017 AVAILABLE SOLVENCY MARGIN AND SOLVENCY RATIO 2 Liabilities (reserves as mentioned in Form HG) 2 340462 90768 3 Other Liabilities (other liabilities in respect of 3 498801 Policyholders Fund as mentioned in Balance Sheet) (Rs. in lakh) 4 Excess in Policyholders Funds (1-2-3) 4 25954 5 Available Assets in Shareholders Funds (value of 5 261570 Assets as mentioned in Form IRDA-Assets-AA): Deduct: 6 Other Liabilities (other liabilities in respect of 6 0 Shareholders Fund as mentioned in Balance Sheet) 7 Excess in Shareholders Funds (5-6) 7 261570 8 Total Available Solvency Margin [ASM] (4+7) 287523 9 Total Required Solvency Margin [RSM] 111093 10 Solvency Ratio (Total ASM/Total RSM) 2.59

PERIODIC DISCLOSURES FORM NL-34 : Board of Directors and Key Person information CIN :U74999DL2002PLC118123 BOD and Key Person* information as on September 30,2017 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 No Change during the reported period 4 Mr. Manish Gupta Director No Change during the reported period 5 Mr Alice G. Vaidyan Director Joined on 29th September 2016 6 Mr. M. K. Mudgal Director Joined on 6th June 2017 Dr. B. G. Mukhopadyay Director Ceased to hold office w.e.f. 6th June 2017 7 Mr. K. Santhkumar Director Joined on 10th August 2016 8 Mr. G. Srinivasn Director Joined on 27th October 2016 9 Mr. A. V. GirijaKumar Director Joined on 6th June 2017 10 Mr Sujay Banarji Director Ceased to hold office w.e.f. 6th June 2017 11 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: September 30, 2017 Details of Investment Portfolio Periodicity of Submission : Quarterly COI Company Name Instrument Type Interest Rate Has there % been revision? Default Default Total O/s Principal Interest (Book Value) (Book Value) (Book Value) Principal Due from Interest Due from Deferred Principal Deferred Interest Rolled Over? Has there been any Principal Classification Board Amount Approval Ref Provision (%) Provision (Rs) NIL

Book Value Market Value* Book Value Market Value** Book Value Market Value FORM NL-36-YIELD ON INVESTMENTS AGRICULTURE INSUANCE COMPANY OF INDIA LIMITED Statement as on September 30,2017 Statement of Investment and Income on Investment Periodicity of Submission: Quarterly Current Quarter Year to Date Previous Year Rs. Lakhs No. Category of Investment Category Code Investment (Rs.) Income Gross Net Yield Yield (%)¹ (%)² Investment (Rs.) Income Net Gross Yield Yield (%)¹ (%)² Investment (Rs.) Income Gross Net Yield Yield (%)¹ (%)² A1 CENTRAL GOVERNMENT BONDS CGSB 1,20,424.27 1,26,919.08 2,395.79 1.99 1.99 1,20,785.50 1,26,866.73 4,811.37 3.98 3.98 1,25,392.96 1,27,933.38 4,988.63 3.98 3.98 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 1,31,227.15 1,30,615.04 2,015.19 1.54 1.54 1,30,820.31 1,30,224.10 3,984.58 3.05 3.05 2,481.89 2,463.30 36.70 1.48 1.48 B1 STATE GOVERNMENT BONDS SGGB 82,181.43 87,446.19 1,727.34 2.10 2.10 79,890.90 85,058.97 3,361.30 4.21 4.21 70,350.83 73,243.43 3,014.63 4.29 4.29 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 1,005.44 45.25 4.53 4.53 BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY HOUSING / BUILDING C7 SCHEME APPROVED BY CENTRAL / STATE / ANY HTDA 46,781.16 47,736.94 958.21 2.05 2.05 44,424.03 45,276.45 1,960.45 4.41 4.41 36,963.33 37,558.44 1,717.05 4.65 4.65 AUTHORITY OR BODY CONSTITUTED BY CENTRAL / STATE ACT C8 BONDS / DEBENTURES ISSUED BY HUDCO HFHD 4,262.00 4,273.15 80.45 1.89 1.89 4,262.00 4,249.64 160.02 3.75 3.75 4,262.00 4,066.75 159.58 3.74 3.74 D08 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPTD 16,952.52 17,420.20 371.57 2.19 2.19 18,033.89 18,526.95 773.55 4.29 4.29 20,494.07 21,048.48 872.43 4.26 4.26 INFRASTRUCTURE - OTHER CORPORATE SECURITIES - D10 ICTD 49,845.57 51,015.52 1,055.08 2.12 2.12 48,239.36 49,231.20 2,043.83 4.24 4.24 30,437.97 30,997.09 1,416.38 4.65 4.65 DEBENTURES/ BONDS D13 INFRASTRUCTURE - PSU - DEBENTURES / BONDS IPFD 12,002.62 12,115.47 226.80 1.89 1.89 12,002.65 12,060.43 451.13 3.76 3.76 12,002.96 11,586.98 449.99 3.75 3.75 E1 PSU - EQUITY SHARES - QUOTED EAEQ 5,856.47 6,834.34 26.63 0.45 0.45 6,093.54 6,887.64 325.59 5.34 5.34 4,736.35 3,808.35 145.01 3.06 3.06 DEPOSITS - DEPOSIT WITH SCHEDULED BANKS, FIS E17 (INCL. BANK BALANCE AWAITING INVESTMENT), CCIL, ECDB 1,33,084.15 1,33,084.15 1,566.28 1.18 1.18 1,45,553.84 1,45,553.84 4,355.57 2.99 2.99 1,93,610.29 1,93,610.29 7,805.28 4.03 4.03 RBI CORPORATE SECURITIES - EQUITY SHARES (ORDINARY)- E2 EACE 14,001.86 15,904.26 94.73 0.68 0.68 13,220.11 14,469.39 203.88 1.54 1.54 7,365.44 6,733.86 160.80 2.18 2.18 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 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1.58 0.00 0.00 PERPETUAL DEBT INSTRUMENTS OF TIER I & II E25 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 CAPITAL ISSUED BY PSU BANKS PERPETUAL DEBT INSTRUMENTS OF TIER I & II E26 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 CAPITAL ISSUED BY NON-PSU BANKS E30 MUTUAL FUNDS - GILT / G SEC / LIQUID SCHEMES EGMF 22,771.58 35,480.47 17.12 0.08 0.08 22,771.58 35,480.47 17.12 0.08 0.08 12,003.51 16,914.73 174.37 1.45 1.45 E6 CORPORATE SECURITIES - BONDS - (TAXABLE) EPBT 62,171.13 63,595.19 2,214.45 3.56 3.56 60,584.90 61,855.74 3,490.81 5.76 5.76 45,288.98 45,912.24 2,082.40 4.60 4.60 F12 EQUITY SHARES (PSUS & UNLISTED) OEPU 392.67 141.68-2.47-0.63-0.63 393.74 157.83-2.47-0.63-0.63 394.83 128.86 1.96 0.50 0.50 MUTUAL FUNDS - DEBT / INCOME / SERIAL PLANS / F14 OMGS 75,015.59 21,28,931.04 787.29 1.05 1.05 84,115.15 13,34,875.44 1,743.39 2.07 2.07 15,721.75 19,055.07 262.47 1.67 1.67 LIQUID SECEMES F01 BONDS - PSU - TAXABLE OBPT 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 500.53 504.52 21.97 4.39 4.39 PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) EETF 498.48 438.23 0.00 0.00 0.00 496.66 462.70 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 TOTAL 7,77,468.65 28,61,950.93 13,534.45 1.74 1.14 7,91,688.17 20,71,237.53 27,680.12 3.50 2.29 5,83,007.68 5,96,571.23 23,356.49 4.01 2.70

FORM NL-37-DOWN GRADING OF INVESTMENT AGRICULTURE INSURANCE COMPANY OF INDIA LIMITED Statement as on: September 30,2017 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 8.75% SAIL NCB 23-04-2020 EPBT 10.00 31-03-2012 CARE AA+ AA 01-07-2017 B. As on Date ² 8.75% SAIL NCB 23-04-2020 EPBT 10.00 31-03-2012 CARE AAA AA+ 01-01-2016

PERIODIC DISCLOSURES FORM NL-38 Quarterly Business Returns across line of Business Agriculture Insurance Company of India Ltd. Business Returns across line of Business (Rs. In Lakhs) S.NO. Line of Business Quarter ended September 30,2017 Sr. 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* 548303.27 90,19,056 431261.91 2882888 552320.95 9067401 455837.70 3071162 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 Quarter ended September 30,2016 Period ended September 30,2017 Period ended September 30,2016

PERIODIC DISCLOSURES FORM NL-39 Rural & Social Obligations 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 9019056 548303.27 93,78,810.07 Social 0 0 0

PERIODIC DISCLOSURES FORM NL-40 Business Acquisition through different channels Agriculture Insurance Company of India Ltd. Quarter ended September 30,2017 Business Acquisition through different channels Quarter ended September 30,2016 Period Ended September 30,2017 (Rs in Lakhs) Period Ended September 30,2016 Sl.No. Channels No. of Policies Premium No. of Policies Premium No. of Policies Premium No. of Policies Premium 1 Individual agents 0 0.00 0 0 0 0 0 0 2 Corporate Agents-Banks 0 0.00 0 0 0 0 0 0 3 Corporate Agents -Others 0 0.00 0 0 0 0 0 0 4 Brokers 885406 8230.28 12324 600.97 825887 5115.23 13114 630.08 5 Micro Agents 19061 451.34 0 0.00 67125 2667.20 2 0.08 6 Direct Business 102375 445.23 36824 124342.70 103527 478.16 37500 124426.76 7 Other 8012214 539176.42 2833740 306318.24 8070862 544060.36 3020546 330780.78 Total (A) 9019056 548303.27 2882888 431261.91 9067401 552320.95 3071162 455837.70 1 Referral (B) 0 0.00 0 0.00 Grand Total (A+B) 9019056 548303.27 2882888 431261.91 9067401 552320.95 3071162 455837.70 Note: 2. No of Policies stand for no. of policies sold

FORM NL-41 Grievance Disposal Insurer - Date: 09.10.2017 1 Complaints made by customers a) Proposal Related 0 0 0 0 0 0 0 b) Claim 20 134 33 7 91 23 220 c) Policy Related 0 0 0 0 0 0 0 d) premium 0 1 0 0 1 0 1 e) Refund 0 0 0 0 0 0 0 f) Coverage 0 4 0 0 4 0 4 g) Cover Note related 0 0 0 0 0 0 1 h) Products/Scheme 0 2 0 1 0 1 3 i) others 0 42 0 0 42 0 97 Total Number 20 183 33 8 138 24 326 2 Total No. of Policies during Previous year 3 4 5 SN Particulars 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 Total No. of Claims Complaints (Current year ) per 10,000/-claims registered (current year) GRIEVANCE DISPOSAL STATEMENT AS on 30.09.2017 Complaints Resolved/setteled Opening Balance Additions during as on begining of Fully Partial the quarter the quarter Accepted Accepted Rejected NA NA NA NA NA NA Complaints Pending at the end of the quarter * Includes balance 12 complaints of FY 2015-16 & 2 complaints of FY 16-17 *Total Complaints registered upto the quarter during the FY 2017-18 as on 30.09.2017 8 Duration wise Pending Status Complaints made by the Customer Complaints made by intermediaries Total a) < 15 days 3 0 3 b) 16-30days 0 0 0 c) >30 days 21 0 21 Total Number 24 0 24