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FORM NL-29 - Detail regarding debt securities |
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Insurer: General Insurance Corporation of India |
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Date: |
30.09.2022 |
(Half Yearly) |
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(Rs in Lakhs) |
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MARKET VALUE* |
Book Value |
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As at 30.09.2022 |
as % of total for this class |
As at 30.09.2021 |
as % of total for this class |
As at 30.09.2022 |
as % of total for this class |
As at 30.09.2021 |
as % of total for this class |
Break down by credit rating |
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AAA rated |
1203710.01 |
21.23 |
1154097.76 |
21.23 |
1221557.83 |
21.22 |
1104940.97 |
21.16 |
AA or better |
136791.61 |
2.41 |
159377.35 |
2.93 |
136599.76 |
2.37 |
154237.74 |
2.95 |
Rated below AA but above A |
14706.91 |
0.26 |
15429.48 |
0.28 |
15000.00 |
0.26 |
15000.00 |
0.29 |
Rated below A but above B |
0.00 |
0.00 |
1004.55 |
0.02 |
0.00 |
0.00 |
1000.00 |
0.02 |
Any other (Rating below B Rating) |
56018.24 |
0.99 |
72833.39 |
1.34 |
60148.51 |
1.04 |
80437.05 |
1.54 |
Sovereign rating |
4259544.67 |
75.11 |
4032605.52 |
74.19 |
4323427.85 |
75.10 |
3866963.92 |
74.04 |
TOTAL |
5,670,771.44 |
100.00 |
5,435,348.05 |
100.00 |
5,756,733.95 |
100.00 |
5,222,579.69 |
100.00 |
BREAKDOWN BY RESIDUAL MATURITY |
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Up to 1 year |
424,334.84 |
7.48 |
400,128.15 |
7.36 |
424,653.30 |
7.38 |
391,394.79 |
7.49 |
more than 1 year and upto 3 years |
975,500.71 |
17.20 |
770,438.13 |
14.17 |
971,959.57 |
16.88 |
727,810.47 |
13.94 |
More than 3 years and up to 7 years |
1,885,634.89 |
33.25 |
1,771,084.84 |
32.58 |
1,884,794.85 |
32.74 |
1,663,876.47 |
31.86 |
More than 7 years and up to 10 years |
1,931,767.54 |
34.07 |
1,950,906.35 |
35.89 |
2,001,916.05 |
34.78 |
1,910,371.97 |
36.58 |
above 10 years |
453,533.46 |
8.00 |
542,790.58 |
9.99 |
473,410.18 |
8.22 |
529,126.00 |
10.13 |
Any other (Please specify) |
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TOTAL |
5,670,771.44 |
100.00 |
5,435,348.05 |
100.00 |
5,756,733.95 |
100.00 |
5,222,579.69 |
100.00 |
Breakdown by type of the issuer |
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a. Central Government ** |
2,088,734.95 |
36.83 |
1,984,378.48 |
36.51 |
2,105,987.75 |
36.58 |
1,876,683.23 |
35.93 |
b. State Government*** |
2,170,809.72 |
38.28 |
2,048,227.04 |
37.68 |
2,217,440.10 |
38.52 |
1,990,280.69 |
38.11 |
c.Corporate Securities |
1,411,226.77 |
24.89 |
1,402,742.53 |
25.81 |
1,433,306.10 |
24.90 |
1,355,615.77 |
25.96 |
Any other (Please specify) |
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TOTAL |
5,670,771.44 |
100.00 |
5,435,348.05 |
100.00 |
5,756,733.95 |
100.00 |
5,222,579.69 |
100.00 |
Note |
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1. In case of a debt instrument which is rated by more than one agency, then the lowest rating will be taken for the purpose of classification. |
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2. Market value of the securities will be in accordance with the valuation method specified by the Authority under Accounting/ Investment Regulations. |
3. Total A, B and C should match with each other and with debt securities reported under NL-12 and 12A (Investments). Other Debt Securities to be reported separately under the prescribed categories under line item "Any other (Please specify)" |
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*All Debentures Bonds and Securities are held to maturity . |
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** Also includes Deposit with CCIL & Margin Pledge. |
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***Also includes State Government Guaranteed Bonds. |
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