FORM NL-31-STATEMENT OF INVESTMENT AND INCOME ON INVESTMENT

























Name of the Insurer: General Insurance Corporation of India

























Registration Number: 112

























Statement as on: 30th September 2022



















Statement of Investment and Income on Investment

























Periodicity of Submission: Quarterly













(Amount in Rs. Lakhs)










Category of Investment Category Code Current Quarter Year to Date (2022-23) Year to Date (2021-2022)








Investment (Rs.) Income on Investment (Rs.) Gross Yield (%) Net Yield (%) Investment (Rs.) Income on Investment (Rs.) Gross Yield (%) Net Yield (%) Investment (Rs.) Income on Investment (Rs.) Gross Yield (%) Net Yield (%)








Preference Shares OPSH 0.00 0.00 151.40 - 0.00 0.00 75.10 - 4.78 32.03 669.49 669.49








Equity Shares (incl. Equity related Instruments) - Promoter Group EEPG 9,919.28 1,769.85 71.37 - 8,809.99 1,769.85 40.18 - 2,919.28 328.75 11.26 11.26








Corporate Securities - Equity shares (Ordinary)- Quoted EACE 936,241.20 156,317.03 66.64 38.64 937,144.20 218,828.73 46.70 27.11 785,520.59 201,570.24 25.66 25.66








PSU - Equity shares - Quoted EAEQ 89,017.01 19,537.35 54.07 34.35 96,472.48 16,894.06 35.02 19.61 145,180.66 10,923.29 7.52 7.52








Infrastructure - PSU - Equity shares - Quoted ITPE 31,909.93 4,338.28 51.08 32.60 35,490.70 4,759.78 26.82 17.54 36,295.18 4,410.55 12.15 12.15








Alternate Investment Funds (Category II) OAFB 1,902.44 155.75 32.75 24.51 1,955.53 464.46 47.50 35.49 1,987.08 -141.61 1.19 0.05








Reclassified Approved Investments - Equity (Point 6 under Note for regulation 4 to 9) ORAE 355,977.89 15,967.73 29.63 16.67 337,417.21 15,967.73 9.46 3.84 - - - -








Infrastructure - Corporate Securities - Equity shares-Quoted ITCE 21,175.85 1,466.74 27.71 10.68 19,882.16 1,603.42 16.13 6.60 15,011.32 1,696.70 11.30 11.30








Reclassified Approved Investments - Equity (Point 6 under Note for Regulation 4 to 9) IORE 7,944.58 25.39 22.53 16.86 7,590.63 25.39 0.67 0.50 - - - -








Corporate Securities - Debentures ECOS 117,523.14 3,425.03 12.33 9.23 120,394.68 6,449.22 10.71 8.01 151,383.10 6,918.55 9.04 5.88








Bonds / Debentures issued by Authority constituted under any Housing / Building Scheme approved by Central / State / any Authority or Body constituted HTDA 55,839.15 1,520.01 10.89 8.15 55,704.27 2,747.29 9.86 7.38 52,135.38 2,537.17 9.69 6.30








Perpetual Debt Instruments of Tier I & II Capital issued by PSU Banks EUPD 4,987.50 113.93 9.14 6.84 4,987.50 226.62 9.09 6.80 - - - -








Loans to State Government for Housing HLSH 12,756.16 275.63 8.64 6.47 12,756.94 803.51 12.60 9.43 14,758.84 955.88 9.63 6.27








Other Approved Securities (excluding Infrastructure Investments) SGOA 12,339.95 246.71 8.00 5.99 12,341.97 467.16 7.57 5.66 16,901.20 593.66 7.00 4.55








Central Government Bonds CGSB 2,047,803.09 41,851.06 7.58 5.67 2,031,375.29 76,882.96 7.57 5.66 1,784,523.34 54,651.00 6.12 3.98








Infrastructure - PSU - Debentures / Bonds IPFD 153.43 2.84 7.41 7.41 153.43 5.65 7.37 7.37 580.61 23.22 8.00 8.00








State Government Bonds SGGB 2,171,433.80 39,654.47 7.30 5.46 2,138,109.09 78,017.10 7.30 5.46 1,894,460.54 69,828.02 7.37 4.79








Infrastructure - PSU - Debentures / Bonds IPTD 548,252.94 9,666.25 7.10 5.31 540,170.21 19,091.22 7.07 5.29 463,077.62 17,045.45 7.37 4.79








Bonds / Debentures issued by NHB / Institutions accredited by NHB HTDN 466,843.72 8,009.56 6.90 5.16 458,062.64 15,760.10 6.88 5.15 350,895.64 13,066.86 7.43 4.83








Bonds / Debentures issued by HUDCO HTHD 55,204.96 917.24 6.65 4.98 57,586.09 1,905.20 6.62 4.95 63,207.71 2,108.86 6.64 4.32








CCIL - CBLO ECBO 82,829.48 1,139.87 5.50 4.12 75,949.69 1,854.06 4.88 3.65 71,040.36 1,141.57 3.21 2.09








Corporate Securities - Bonds - (Taxable) EPBT 8,807.51 108.09 4.91 3.67 10,805.83 274.18 5.07 3.79 7,396.34 334.01 9.03 5.87








Deposits - Deposit with Scheduled Banks, FIs (incl. Bank Balance awaiting Investment), CCIL, RBI ECDB 495,260.26 2,891.89 4.81 3.60 506,944.62 11,255.99 4.44 3.32 397,999.70 21,717.09 10.91 7.10








Mutual Funds - Gilt / G Sec / Liquid Schemes EGMF 126,119.57 1,436.52 4.56 3.41 86,568.31 1,846.91 4.27 3.20 109,890.16 2,547.34 4.64 3.02








Infrastructure - Other Corporate Securities - Debentures/ Bonds ICTD 39,157.93 635.47 4.47 3.34 42,582.94 1,419.72 6.67 4.99 53,836.93 2,307.05 8.50 5.53








Reclassified Approved Investments - Debt (Point 6 under Note for regulation 4 to 9) ORAD 102,980.16 1,867.11 3.65 2.73 102,983.80 1,867.11 3.63 2.72 - - - -








Equity Shares - Companies incorporated outside India (invested prior to IRDA Regulations) EFES 83,099.10 744.10 3.58 0.48 83,099.10 1,090.78 2.63 0.69 81,123.81 453.64 0.70 0.70








Alternate Investment Funds (Category I) OAFA 9,197.96 74.61 3.24 2.30 9,335.53 1,554.56 33.30 24.85 10,208.03 1,257.23 14.32 0.56








Debentures OLDB 6,624.89 -678.00 2.70 2.02 6,619.89 93.94 2.84 2.13 158,023.54 5,579.40 3.08 2.00








Equity Shares (incl Co-op Societies) OESH 6,188.95 1,371.18 0.43 - 5,828.84 72.69 2.49 - 43,384.28 2,571.75 9.49 9.49








Infrastructure - Term Loans (with Charge) ILWC 1,688.49 1.04 0.25 0.19 1,695.34 2.42 0.29 0.22 1,753.41 5.24 0.58 0.38








Reclassified Approved Investments - Debt (Point 6 under Note for Regulation 4 to 9) IORD 72,030.77 8.90 0.03 0.02 72,030.77 8.90 0.02 0.01 - - - -








Bonds - PSU - Taxable OBPT - -90.93 - - - - - - 36,874.89 1,105.15 7.20 4.68








Corporate Securities - Debentures / Bonds/ CPs /Loan - (Promoter Group) EDPG - - - - - - - - 1,689.16 113.44 12.26 7.98








Equity Shares (incl. Equity related Instruments) - Promoter Group OEPG - - - - - - - - 46,657.73 8,776.20 18.81 18.81








Equity Shares (PSUs & Unlisted) OEPU 26,896.01 1,197.41 - - 27,245.95 36.76 0.27 - 176,566.25 9,782.30 5.54 5.54








Guaranteed Equity SGGE 5.00 - - - 5.00 5.40 216.00 - 5.00 - - -








Infrastructure - Debentures / Bonds / CPs / loans IODS - -2.98 - - - - - - 72,040.96 14.83 0.02 0.01








Infrastructure - Equity (including unlisted) IOEQ - 158.50 - - - - - - 10,981.66 -827.86 0.36 0.23








Loans to State Government for Fire Fighting Equipments HLSF 4.89 - - - 4.89 - - - 11.56 12.53 9.25 6.02








Passively Managed Equity ETF (Non Promoter Group) EETF 5,000.00 - - - 5,000.00 - - - 5,979.65 288.57 9.65 6.28








Reclassified Approved Investments - Debt (Point 6 under Note for Regulation 4 to 9) HORD 12,715.26 - - - 12,715.26 - - - - - - -








Short term Loans (Unsecured Deposits) OSLU 683.87 - - - 683.87 - - - 683.87 - - -








Term Loans (without Charge) OTLW 1,835.53 - - - 1,835.53 - - - 1,856.03 2.62 - -










8,028,351.65 316,123.64 15.75% 11.79% 7,928,340.18 484,052.89 12.21% 9.14% 7,066,846.19 443,730.74 12.56% 8.17%



































Note:

Category of Investment (COI) shall be as per Guidelines, as amended from time to time
1. Based on daily simple Average of Investments
2. Yield netted for Tax
3. In the previous year column, the figures of the corresponding Year to date of the previous financial year shall be shown
4. FORM-1 shall be prepared in respect of each fund.In case of ULIP FORM 1 shall be prepared at Segregated Fund (SFIN) level and also at consolidated level.
5.'YTD Income on investment shall be reconciled with figures in P&L and Revenue account