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  | FORM NL-28-STATEMENT OF ASSETS - 3B | 
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  | Company Name & Code: | 
  General
  Insurance Corporation of India | 
    | 
    | 
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  | Statement
  as on: 31.03.2019 | 
    | 
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  | Statement
  of Investment Assets (General Insurer,
  Re-insurers) | 
    | 
    | 
    | 
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   | 
 
 
  | (Business
  within India) | 
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  | Periodicity of Submission: Quarterly | 
    | 
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  |   | 
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  | No.  | 
  Particulars | 
  SCH | 
  ` in Crs. | 
   | 
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  | 1 | 
  Investments | 
  8 | 
                                                                                      
  79,612.94  | 
   | 
   | 
   | 
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   | 
   | 
   | 
 
 
  | 2 | 
  Loans | 
  9 | 
                                                                                          
  257.42  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  | 3 | 
  Fixed Assets | 
  10 | 
                                                                                          
  196.69  | 
   | 
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   | 
 
 
  | 4 | 
  Current
  Assets | 
    | 
                                                                                                 
  -    | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |   | 
  a.  Cash & Bank Balance | 
  11 | 
                                                                                      
  12,830.42  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |   | 
  b.  Advances & Other Assets | 
  12 | 
                                                                                      
  21,124.04  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  | 5 | 
  Current
  Liabilities | 
    | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |   | 
  a.  Current Liabilities | 
  13 | 
                                                                                    
  (46,512.44) | 
   | 
   | 
   | 
   | 
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   | 
   | 
 
 
  |   | 
  b. Provisions | 
  14 | 
                                                                                    
  (14,507.59) | 
   | 
   | 
   | 
   | 
   | 
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   | 
 
 
  |   | 
  c.  Misc. Exp. Not written off | 
  15 | 
                                                                                                 
  -    | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |   | 
  d.  Debit Balance of P & L A/c | 
    | 
                                                                                                 
  -    | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  |   | 
  Application
  of Funds as per Balance Sheet (A) | 
  TOTAL (A) | 
                                                                                    
  53,001.48  | 
   | 
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   | 
   | 
   | 
 
 
  |   | 
    | 
    | 
    | 
   | 
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   | 
 
 
  |   | 
  Less : Other
  Assets | 
  SCH | 
    | 
   | 
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   | 
 
 
  | 1 | 
  Loans (if
  any) | 
  9 | 
                                                                                              
  2.37  | 
   | 
   | 
   | 
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   | 
   | 
 
 
  | 2 | 
  Fixed Assets
  (if any) | 
  10 | 
                                                                                          
  196.69  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  | 3 | 
  Cash &
  Bank Balance  (if any) | 
  11 | 
                                                                                        
  9,402.65  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  | 4 | 
  Advances
  & Other Assets  (if any) | 
  12 | 
                                                                                      
  21,065.81  | 
   | 
   | 
   | 
   | 
   | 
   | 
   | 
 
 
  | 5 | 
  Current
  Liabilities | 
  13 | 
                                                                                    
  (46,512.44) | 
   | 
   | 
   | 
   | 
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   | 
 
 
  | 6 | 
  Provisions | 
  14 | 
                                                                                    
  (14,507.59) | 
   | 
   | 
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   | 
 
 
  | 7 | 
  Misc. Exp.
  Not written off | 
  15 | 
                                                                                                 
  -    | 
   | 
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   | 
 
 
  | 8 | 
  Debit Balance
  of P & L A/c | 
    | 
    | 
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   | 
 
 
  |   | 
    | 
  TOTAL (B) | 
                                                                                    
  (30,352.51) | 
   | 
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  |   | 
  'Investment
  Assets' As per FORM 3B | 
  ( A - B ) | 
                                                                                    
  83,353.99  | 
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  | NL 28-Part
  A -Section II | 
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  | Statement
  as on : 31.03.2019 | 
   | 
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  ` in Crs. | 
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  | Serial
  Number | 
  Investment Particular | 
  Percentage | 
  Amount,Share
  Holders | 
  Amount,Policy
  Holders | 
  Total(SH+PH) | 
  Percentage
  Actual | 
  FVC Amount | 
  Total with FVC | 
  Market Value | 
   | 
 
 
  | 1 | 
  Central Govt.
  Sec. | 
  Not less than
  20% | 
  4,082.79 | 
  10,693.87 | 
  14,776.66 | 
  27.92 | 
  0.00 | 
  14,776.66 | 
  15,120.49 | 
   | 
 
 
  | 2 | 
  Central Govt.
  Sec, State Govt. Sec or Other Apporved Sec. (incl.
  (1) above) | 
  Not less than
  30% | 
  6,420.87 | 
  16,817.89 | 
  23,238.76 | 
  43.91 | 
  0.00 | 
  23,238.76 | 
  23,885.40 | 
   | 
 
 
  | 3 | 
  Investment
  subject to Exposure Norms | 
    | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | - | 
  a. Housing
  & Loans to SG for Housing and FFE | 
  Not less than
  5% | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
  1. Approved
  Investments | 
    | 
  1,429.75 | 
  3,744.89 | 
  5,174.64 | 
  9.78 | 
  0.00 | 
  5,174.64 | 
  5,216.31 | 
   | 
 
 
  |   | 
  2. Other
  Investments | 
    | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | - | 
  b.
  Infrastructure Investments | 
  Not less than
  10% | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
  1. Approved
  Investments | 
    | 
  1,153.92 | 
  3,022.41 | 
  4,176.34 | 
  7.89 | 
  546.99 | 
  4,723.33 | 
  4,765.60 | 
   | 
 
 
  |   | 
  2. Other
  Investments | 
    | 
  242.16 | 
  634.29 | 
  876.45 | 
  1.66 | 
  -81.56 | 
  794.89 | 
  682.36 | 
   | 
 
 
  |   | 
  c. Approved
  Investments | 
  Not exceeding
  55% | 
  5,327.08 | 
  12,179.43 | 
  17,506.50 | 
  33.08 | 
  30,126.16 | 
  47,632.66 | 
  47,661.21 | 
   | 
 
 
  |   | 
  d. Other
  Investments (not exceeding 25%) | 
  Not exceeding
  55% | 
  538.97 | 
  1,411.70 | 
  1,950.66 | 
  3.69 | 
  -160.96 | 
  1,789.71 | 
  1,742.07 | 
   | 
 
 
  |   | 
  Total
  Investment Assets | 
    | 
  15,112.75 | 
  37,810.61 | 
  52,923.35 | 
  100.00 | 
  30,430.63 | 
  83,353.99 | 
  83,952.95 | 
   | 
 
 
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  | Certification: | 
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  | 1.  Central Govt. Securities includes Treasury
  Bills,  Deposit Under Section 7 of
  Insurance Act, 1938 and Deposit with CCIL (securities) | 
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  | 2.  Shareholder and Policyholder Funds have
  been bifurcated in the ratio of 27.63 : 72.37 as per B/s as on 31.03.2019 | 
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  | Certified
  that the information given herein are 
  correct, complete and nothing has been concealed or suppressed, to the
  best of my knowledge and belief. | 
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  | Date: | 
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   | 
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  Signature | 
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  Full Name | 
  Mr.Shashikant More | 
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  | FORM NL-28
  - PART B | 
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  | GENERAL
  INSURANCE CORPORATION OF INDIA | 
   | 
 
 
  | Suraksha,
  170, J. Tata Road, Churchgate, Mumbai - 400 020, INDIA | 
   | 
   | 
 
 
   | 
   | 
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   | 
  ` in Crs. | 
   | 
   | 
 
 
  | IRDA Code | 
  BAP Code | 
  Serial No | 
  Category of Investment | 
  Opening BV | 
  Opening BV % | 
  Net Accr BV | 
  Net Accr BV % | 
  Closing BV | 
  Closing BV % | 
   | 
 
 
  |   | 
    | 
  1 | 
  Central Govt. Sec | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | CGSB | 
  100001 | 
  A01 | 
  CENTRAL GOVERNMENT BONDS | 
  14,499.04 | 
  28.48 | 
  277.62 | 
  13.76 | 
  14,776.66 | 
  27.92 | 
   | 
 
 
  | CSPD | 
  100002 | 
  A02 | 
  SPECIAL DEPOSITS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | CDSS | 
  100003 | 
  A03 | 
  DEPOSIT UNDER SECTION 7 OF INSURANCE ACT, 1938 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | CTRB | 
  100004 | 
  A04 | 
  TREASURY BILLS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
    | 
  Total (1) | 
  14,499.04 | 
  28.48 | 
  277.62 | 
  13.76 | 
  14,776.66 | 
  27.92 | 
   | 
 
 
  |   | 
    | 
  2 | 
  Central Govt. Sec or Other Approved Sec/Guaranteed Sec | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | CGSL | 
  100005 | 
  B01 | 
  CENTRAL GOVERNMENT GUARANTEED LOANS / BONDS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | SGGB | 
  100006 | 
  B02 | 
  STATE GOVERNMENT BONDS | 
  7,710.99 | 
  15.15 | 
  499.46 | 
  24.75 | 
  8,210.45 | 
  15.51 | 
   | 
 
 
  | SGGL | 
  100007 | 
  B03 | 
  STATE GOVERNMENT GUARANTEED LOANS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | SGOA | 
  100008 | 
  B04 | 
  OTHER APPROVED SECURITIES (EXCLUDING INFRASTRUCTURE INVESTMENTS) | 
  304.86 | 
  0.60 | 
  -53.27 | 
  -2.64 | 
  251.59 | 
  0.48 | 
   | 
 
 
  | SGGE | 
  100009 | 
  B05 | 
  GUARANTEED EQUITY | 
  0.05 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.05 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
    | 
  Total (1+2) | 
  22,514.94 | 
  44.23 | 
  723.82 | 
  35.87 | 
  23,238.76 | 
  43.91 | 
   | 
 
 
  |   | 
    | 
  3 | 
  Investments subject to Expsoure Norms | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  (a)Housing & Loans to State Govt for Housing / FFE | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  1. Approved Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HLSH | 
  100010 | 
  C01 | 
  LOANS TO STATE GOVERNMENT FOR HOUSING | 
  211.43 | 
  0.42 | 
  -1.60 | 
  -0.08 | 
  209.83 | 
  0.40 | 
   | 
 
 
  | HLSF | 
  100011 | 
  C02 | 
  LOANS TO STATE GOVERNMENT FOR FIRE FIGHTING EQUIPMENTS | 
  0.82 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.82 | 
  0.00 | 
   | 
 
 
  | HTLH | 
  100012 | 
  C03 | 
  TERM LOAN - HUDCO / NHB / INSTITUTIONS ACCREDITED BY NHB | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HTLN | 
  100013 | 
  C04 | 
  COMMERCIAL PAPERS - NHB / INSTITUTIONS ACCREDITED BY NHB | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HMBS | 
  100014 | 
  C05 | 
  HOUSING - SECURITISED ASSETS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HDPG | 
  100095 | 
  C06 | 
  DEBENTURES / BONDS / CPS / LOANS - (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  Taxable Bonds | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HTHD | 
  100015 | 
  C07 | 
  BONDS / DEBENTURES ISSUED BY HUDCO | 
  204.86 | 
  0.40 | 
  24.99 | 
  1.24 | 
  229.85 | 
  0.43 | 
   | 
 
 
  | HTDN | 
  100016 | 
  C08 | 
  BONDS / DEBENTURES ISSUED BY NHB / INSTITUTIONS ACCREDITED BY
  NHB | 
  3,945.56 | 
  7.75 | 
  -85.82 | 
  -4.25 | 
  3,859.74 | 
  7.29 | 
   | 
 
 
  | HTDA | 
  100017 | 
  C09 | 
  BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY
  HOUSING / BUILDING SCHEME APPROVED BY CENTRAL / STATE / ANY AUTHORI | 
  944.36 | 
  1.86 | 
  -69.96 | 
  -3.47 | 
  874.40 | 
  1.65 | 
   | 
 
 
  |   | 
    | 
  - | 
  Tax Free Bonds | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HFHD | 
  100018 | 
  C10 | 
  BONDS / DEBENTURES ISSUED BY HUDCO | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HFDN | 
  100019 | 
  C11 | 
  BONDS / DEBENTURES ISSUED BY NHB / INSTITUTIONS ACCREDITEDBY NHB | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HFDA | 
  100020 | 
  C12 | 
  BONDS / DEBENTURES ISSUED BY AUTHORITY CONSTITUTED UNDER ANY
  HOUSING / BUILDING SCHEME APPROVED BY CENTRAL / STATE / ANY AUTHORI | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  2. Other Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HODS | 
  100021 | 
  C13 | 
  DEBENTURES / BONDS / CPS / LOANS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HOMB | 
  100096 | 
  C14 | 
  HOUSING - SECURITISED ASSETS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | HOPG | 
  100097 | 
  C15 | 
  DEBENTURES / BONDS / CPS / LOANS - (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
    | 
  Total 3(a) | 
  5,307.03 | 
  10.43 | 
  -132.39 | 
  -6.56 | 
  5,174.64 | 
  9.78 | 
   | 
 
 
  |   | 
    | 
  - | 
  (b)Infrastructure Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  1. Approved Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ISAS | 
  100022 | 
  D01 | 
  INFRASTRUCTURE - OTHER APPROVED SECURITIES | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ITPE | 
  100023 | 
  D02 | 
  INFRASTRUCTURE - PSU - EQUITY SHARES - QUOTED | 
  393.69 | 
  0.77 | 
  -32.94 | 
  -1.63 | 
  360.75 | 
  0.68 | 
   | 
 
 
  | ITCE | 
  100024 | 
  D03 | 
  INFRASTRUCTURE - CORPORATE SECURITIES - EQUITY SHARES-QUOTED | 
  189.93 | 
  0.37 | 
  -8.16 | 
  -0.40 | 
  181.77 | 
  0.34 | 
   | 
 
 
  | IEPG | 
  100025 | 
  D04 | 
  INFRASTRUCTURE - EQUITY AND EQUITY RELATED INSTRUMENTS (PROMOTER
  GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IESA | 
  100026 | 
  D05 | 
  INFRASTRUCTURE - SECURITISED ASSETS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IDPG | 
  100027 | 
  D06 | 
  INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS - (PROMOTER
  GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IDDF | 
  100098 | 
  D07 | 
  INFRASTRUCTURE - INFRASTRUCTURE DEVELOPMENT FUND (IDF) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  Taxable Bonds | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IPTD | 
  100028 | 
  D08 | 
  INFRASTRUCTURE - PSU - DEBENTURES / BONDS | 
  2,942.81 | 
  5.78 | 
  -85.47 | 
  -4.24 | 
  2,857.34 | 
  5.40 | 
   | 
 
 
  | IPCP | 
  100029 | 
  D09 | 
  INFRASTRUCTURE - PSU - CPS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ICTD | 
  100030 | 
  D10 | 
  INFRASTRUCTURE - OTHER CORPORATE SECURITIES - DEBENTURES/ BONDS | 
  839.96 | 
  1.65 | 
  -80.12 | 
  -3.97 | 
  759.84 | 
  1.44 | 
   | 
 
 
  | ICCP | 
  100031 | 
  D11 | 
  INFRASTRUCTURE - OTHER CORPORATE SECURITIES - CPS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ILWC | 
  100032 | 
  D12 | 
  INFRASTRUCTURE - TERM LOANS (WITH CHARGE) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  Tax Free Bonds | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IPFD | 
  100033 | 
  D13 | 
  INFRASTRUCTURE  - PSU -
  DEBENTURES / BONDS | 
  16.64 | 
  0.03 | 
  0.00 | 
  0.00 | 
  16.64 | 
  0.03 | 
   | 
 
 
  | ICFD | 
  100034 | 
  D14 | 
  INFRASTRUCTURE - OTHER CORPORATE SECURITIES - DEBENTURES/ BONDS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
  - | 
  2. Other Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IOEQ | 
  100099 | 
  D15 | 
  INFRASTRUCTURE - EQUITY 
  (INCLUDING UNLISTED) | 
  83.94 | 
  0.16 | 
  0.00 | 
  0.00 | 
  83.94 | 
  0.16 | 
   | 
 
 
  | IODS | 
  100100 | 
  D16 | 
  INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS | 
  717.53 | 
  1.41 | 
  74.98 | 
  3.72 | 
  792.51 | 
  1.50 | 
   | 
 
 
  | IOSA | 
  100101 | 
  D17 | 
  INFRASTRUCTURE - SECURITISED ASSETS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IOPE | 
  100102 | 
  D18 | 
  INFRASTRUCTURE - EQUITY 
  (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | IOPD | 
  100103 | 
  D19 | 
  INFRASTRUCTURE - DEBENTURES / BONDS / CPS / LOANS - (PROMOTER
  GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
    | 
  Total 3(b) | 
  5,184.50 | 
  10.18 | 
  -131.71 | 
  -6.53 | 
  5,052.79 | 
  9.55 | 
   | 
 
 
  |   | 
    | 
  - | 
  (c)Approved Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EAEQ | 
  100035 | 
  E01 | 
  PSU - EQUITY SHARES - QUOTED | 
  3,569.70 | 
  7.01 | 
  -136.82 | 
  -6.78 | 
  3,432.88 | 
  6.49 | 
   | 
 
 
  | EACE | 
  100036 | 
  E02 | 
  CORPORATE SECURITIES - EQUITY SHARES (ORDINARY)- QUOTED | 
  5,216.78 | 
  10.25 | 
  29.09 | 
  1.44 | 
  5,245.87 | 
  9.91 | 
   | 
 
 
  | EFES | 
  100037 | 
  E03 | 
  EQUITY SHARES - COMPANIES INCORPORATED OUTSIDE INDIA (INVESTED
  PRIOR TO IRDA REGULATIONS) | 
  524.97 | 
  1.03 | 
  152.15 | 
  7.54 | 
  677.12 | 
  1.28 | 
   | 
 
 
  | EEPG | 
  100038 | 
  E04 | 
  EQUITY SHARES (INCL. EQUITY RELATED INSTRUMENTS) - PROMOTER
  GROUP | 
  99.34 | 
  0.20 | 
  0.00 | 
  0.00 | 
  99.34 | 
  0.19 | 
   | 
 
 
  | EPBT | 
  100039 | 
  E05 | 
  CORPORATE SECURITIES - BONDS - (TAXABLE) | 
  367.62 | 
  0.72 | 
  58.76 | 
  2.91 | 
  426.38 | 
  0.81 | 
   | 
 
 
  | EPBF | 
  100040 | 
  E06 | 
  CORPORATE SECURITIES - BONDS - (TAX FREE) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EPNQ | 
  100041 | 
  E07 | 
  CORPORATE SECURITIES - PREFERENCE SHARES | 
  0.16 | 
  0.00 | 
  -0.03 | 
  0.00 | 
  0.13 | 
  0.00 | 
   | 
 
 
  | ECIS | 
  100042 | 
  E08 | 
  CORPORATE SECURITIES - INVESTMENT IN SUBSIDIARIES | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECOS | 
  100043 | 
  E09 | 
  CORPORATE SECURITIES - DEBENTURES | 
  2,452.36 | 
  4.82 | 
  -341.18 | 
  -16.91 | 
  2,111.18 | 
  3.99 | 
   | 
 
 
  | EDPG | 
  100044 | 
  E10 | 
  CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER
  GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECDI | 
  100045 | 
  E11 | 
  CORPORATE SECURITIES - DERIVATIVE INSTRUMENTS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EMUN | 
  100104 | 
  E12 | 
  MUNICIPAL BONDS - RATED | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EINP | 
  100046 | 
  E13 | 
  INVESTMENT PROPERTIES - IMMOVABLE | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ELPL | 
  100047 | 
  E14 | 
  LOANS - POLICY LOANS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ELMI | 
  100048 | 
  E15 | 
  LOANS - SECURED LOANS - MORTGAGE OF PROPERTY IN INDIA (TERM
  LOAN) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ELMO | 
  100049 | 
  E16 | 
  LOANS - SECURED LOANS - MORTGAGE OF PROPERTY OUTSIDE INDIA(TERM
  LOAN) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECDB | 
  100050 | 
  E17 | 
  DEPOSITS - DEPOSIT WITH SCHEDULED BANKS, FIS (INCL. BANK BALANCE
  AWAITING INVESTMENT), CCIL, RBI | 
  2,096.01 | 
  4.12 | 
  -87.63 | 
  -4.34 | 
  2,008.38 | 
  3.79 | 
   | 
 
 
  | EDCD | 
  100051 | 
  E18 | 
  DEPOSITS - CDS WITH SCHEDULED BANKS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECMR | 
  100052 | 
  E19 | 
  DEPOSITS - REPO / REVERSE REPO - GOVT SECURITIES | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECCR | 
  100105 | 
  E20 | 
  DEPOSITS - REPO / REVERSE REPO - CORPORATE SECURITIES | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EDPD | 
  100053 | 
  E21 | 
  DEPOSIT WITH PRIMARY DEALERS DULY RECOGNISED BY RESERVE BANK OF
  INDIA | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECBO | 
  100054 | 
  E22 | 
  CCIL - CBLO | 
  528.31 | 
  1.04 | 
  949.31 | 
  47.04 | 
  1,477.62 | 
  2.79 | 
   | 
 
 
  | ECCP | 
  100055 | 
  E23 | 
  COMMERCIAL PAPERS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ECAM | 
  100056 | 
  E24 | 
  APPLICATION MONEY | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EUPD | 
  100057 | 
  E25 | 
  PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY
  PSU BANKS | 
  10.00 | 
  0.02 | 
  0.00 | 
  0.00 | 
  10.00 | 
  0.02 | 
   | 
 
 
  | EPPD | 
  100058 | 
  E26 | 
  PERPETUAL DEBT INSTRUMENTS OF TIER I & II CAPITAL ISSUED BY
  NON-PSU BANKS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EUPS | 
  100059 | 
  E27 | 
  PERPETUAL NON-CUM. P.SHARES & REDEEMABLE CUMULATIVE P.SHARES
  OF TIER 1 & 2 CAPITAL ISSUED BY PSU BANKS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EPPS | 
  100060 | 
  E28 | 
  PERPETUAL NON-CUM. P.SHARES & REDEEMABLE CUMULATIVE P.SHARES
  OF TIER 1 & 2 CAPITAL ISSUED BY NON-PSU BANKS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EFDS | 
  100061 | 
  E29 | 
  FOREIGN DEBT SECURITIES (INVESTED PRIOR TO IRDA REGULATIONS) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EGMF | 
  100062 | 
  E30 | 
  MUTUAL FUNDS - GILT / G SEC / LIQUID SCHEMES | 
  1,467.23 | 
  2.88 | 
  536.09 | 
  26.56 | 
  2,003.32 | 
  3.79 | 
   | 
 
 
  | EMPG | 
  100063 | 
  E31 | 
  MUTUAL FUNDS - (UNDER INSURER'S PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ENCA | 
  100064 | 
  E32 | 
  NET CURRENT ASSETS (ONLY IN RESPECT OF ULIP BUSINESS) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EETP | 
  100116 | 
  E33 | 
  PASSIVELY MANAGED EQUITY ETF (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | EETF | 
  100115 | 
  E34 | 
  PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) | 
  28.40 | 
  0.06 | 
  -14.11 | 
  -0.70 | 
  14.29 | 
  0.03 | 
   | 
 
 
  |   | 
    | 
    | 
  Total 3(c) | 
  16,360.87 | 
  32.14 | 
  1,145.63 | 
  56.77 | 
  17,506.50 | 
  33.08 | 
   | 
 
 
  |   | 
    | 
  - | 
  (d)Other Investments | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OBPT | 
  100065 | 
  F01 | 
  BONDS - PSU - TAXABLE | 
  194.99 | 
  0.38 | 
  -10.03 | 
  -0.50 | 
  184.96 | 
  0.35 | 
   | 
 
 
  | OBPF | 
  100066 | 
  F02 | 
  BONDS - PSU - TAX FREE | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OESH | 
  100067 | 
  F03 | 
  EQUITY SHARES (INCL CO-OP SOCIETIES) | 
  587.37 | 
  1.15 | 
  -25.34 | 
  -1.26 | 
  562.03 | 
  1.06 | 
   | 
 
 
  | OEPU | 
  100068 | 
  F04 | 
  EQUITY SHARES (PSUS & UNLISTED) | 
  131.09 | 
  0.26 | 
  44.34 | 
  2.20 | 
  175.43 | 
  0.33 | 
   | 
 
 
  | OEPG | 
  100069 | 
  F05 | 
  EQUITY SHARES (INCL. EQUITY RELATED INSTRUMENTS) - PROMOTER
  GROUP | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OLDB | 
  100070 | 
  F06 | 
  DEBENTURES | 
  431.13 | 
  0.85 | 
  400.88 | 
  19.86 | 
  832.01 | 
  1.57 | 
   | 
 
 
  | ODPG | 
  100071 | 
  F07 | 
  DEBENTURES / BONDS/ CPS / LOANS ETC. - (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OMUN | 
  100106 | 
  F08 | 
  MUNICIPAL BONDS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OACP | 
  100072 | 
  F09 | 
  COMMERCIAL PAPERS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OPSH | 
  100073 | 
  F10 | 
  PREFERENCE SHARES | 
  4.00 | 
  0.01 | 
  0.44 | 
  0.02 | 
  4.44 | 
  0.01 | 
   | 
 
 
  | OVNF | 
  100074 | 
  F11 | 
  VENTURE FUND | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OAFA | 
  100107 | 
  F11A | 
  VENTURE FUND - TIER I | 
  122.84 | 
  0.24 | 
  -0.16 | 
  -0.01 | 
  122.68 | 
  0.23 | 
   | 
 
 
  | OAFB | 
  100108 | 
  F11B | 
  VENTURE FUND - TIER II | 
  21.85 | 
  0.04 | 
  2.86 | 
  0.14 | 
  24.71 | 
  0.05 | 
   | 
 
 
  | OSLU | 
  100075 | 
  F12 | 
  SHORT TERM LOANS (UNSECURED DEPOSITS) | 
  6.84 | 
  0.01 | 
  0.00 | 
  0.00 | 
  6.84 | 
  0.01 | 
   | 
 
 
  | OTLW | 
  100076 | 
  F13 | 
  TERM LOANS (WITHOUT CHARGE) | 
  37.73 | 
  0.07 | 
  -0.18 | 
  -0.01 | 
  37.55 | 
  0.07 | 
   | 
 
 
  | OMGS | 
  100077 | 
  F14 | 
  MUTUAL FUNDS - DEBT / INCOME / SERIAL PLANS / LIQUID SCHEMES | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OMPG | 
  100078 | 
  F15 | 
  MUTUAL FUNDS - (UNDER INSURER'S PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OCDI | 
  100079 | 
  F16 | 
  DERIVATIVE INSTRUMENTS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OPSA | 
  100080 | 
  F17 | 
  SECURITISED ASSETS | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OIPI | 
  100081 | 
  F18 | 
  INVESTMENT PROPERTIES - IMMOVABLE | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OETP | 
  100118 | 
  F19 | 
  PASSIVELY MANAGED EQUITY ETF (PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | OETF | 
  100117 | 
  F20 | 
  PASSIVELY MANAGED EQUITY ETF (NON PROMOTER GROUP) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ORAD | 
    | 
  F21 | 
  RECLASSIFIED APPPROVED INVESTMENT(DEBT) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  | ORAE | 
    | 
  F22 | 
  RECLASSIFIED APPROVED INVESTMENT (EQUITY) | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
  0.00 | 
   | 
 
 
  |   | 
    | 
    | 
  Total 3(d) | 
  1,537.84 | 
  3.02 | 
  412.82 | 
  20.46 | 
  1,950.66 | 
  3.69 | 
   | 
 
 
  |   | 
    | 
    | 
  Total 3(a+b+c+d) | 
  28,390.24 | 
  55.77 | 
  1,294.35 | 
  64.14 | 
  29,684.59 | 
  56.09 | 
   | 
 
 
  |   | 
    | 
    | 
  Total (1+2+3) | 
  50,905.18 | 
  100.00 | 
  2,018.17 | 
  100.00 | 
  52,923.35 | 
  100.00 | 
   | 
 
 
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  | Certified
  that the information given herein are 
  correct, complete and nothing has been concealed or suppressed, to the
  best of my knowledge and belief. | 
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