(Rs.in Million) |
Particulars | Mar 2025 | Mar 2024 | Mar 2023 | Mar 2022 | Mar 2021 |
Share Capital | 8772.00 | 8772.00 | 8772.00 | 8772.00 | 8772.00 |
Equity - Authorised | 10000.00 | 10000.00 | 10000.00 | 10000.00 | 10000.00 |
Equity - Issued | 8772.00 | 8772.00 | 8772.00 | 8772.00 | 8772.00 |
Equity - Paid Up | 8772.00 | 8772.00 | 8772.00 | 8772.00 | 8772.00 |
Equity Shares Forfeited | | | | | |
Adjustments to Equity | | | | | |
Preference Capital Paid Up | | | 0.00 | 0.00 | 0.00 |
Unclassified Shares Paid Up | | | | | |
Face Value | 0.50 | 0.50 | 0.01 | 0.01 | 0.01 |
Share Warrants | | | | | |
Reserve and Surplus | 477819.60 | 410576.00 | 351187.97 | 279498.21 | 253756.71 |
Capital Reserve | | | | | |
Share Premium | 15440.70 | 15440.70 | 15440.66 | 15440.66 | 15440.66 |
General Reserve | 157265.10 | 158911.80 | 158911.84 | 158911.84 | 158911.84 |
Profit & Loss A/c | 266139.00 | 209364.60 | 155137.61 | 90011.94 | 66149.16 |
Other Reserve | 21994.90 | 17170.50 | 21697.86 | 15133.77 | 13255.05 |
Revaluation Reserve | | | | | |
Fair Value Change Account Cr / (Dr) | 128405.40 | 133217.50 | 91887.41 | 71808.15 | 62105.60 |
Borrowings | | | | | |
Debentures | | | | | |
Financial Institutions | | | | | |
Others | | | | 0.00 | 0.00 |
Policy Holders Funds | | | | | |
Fair Value Change Account Cr / (Dr) | 272999.10 | 304351.90 | 222853.70 | 240371.95 | 210159.66 |
Policies Liabilities | | | | | |
Insurance Reserve | | | | | |
Provisions for Linked Liabilities | | | | | |
Funds For future Appropriations | | | | | |
Total Sources of Funds | 887996.10 | 856917.40 | 674701.08 | 600450.32 | 534793.97 |
Applications of Funds | | | | | |
Investments | | | | | |
Investments - Shareholders | 482852.10 | 435615.30 | 343286.71 | 265014.13 | 234644.85 |
Investments - Policies Holders | 949950.20 | 922010.10 | 804093.67 | 781759.19 | 705256.16 |
Assets Held to cover Linked Liabilities | | | | | |
Loans | 1373.60 | 1521.70 | 1700.47 | 1896.20 | 2127.00 |
Secured | | | | | |
Unsecured Loans | 56.40 | 66.30 | 68.39 | 68.39 | 68.39 |
Current Assets | | | | 0.00 | 0.00 |
Cash & Bank balances | 252796.40 | 248551.80 | 237024.42 | 214513.40 | 185888.05 |
Cash | 0.10 | 0.10 | 0.05 | 0.06 | 0.07 |
Bank Balances & Deposits | 242424.50 | 241574.00 | 228948.56 | 210800.28 | 175751.41 |
Money at call & Short notice | 10371.80 | 6977.70 | 8075.81 | 3713.05 | 10136.57 |
Others | | | | | |
Advances & Other Assets | 223281.10 | 172104.60 | 147665.66 | 133231.11 | 133848.19 |
Advances | | | | | |
Application money for Investments | 21873.20 | | | | |
Prepayments & Pre paid expenses | 528.00 | 393.70 | 428.66 | 421.89 | 461.77 |
Advances to Directors / Officers | 4.90 | 8.70 | 2.86 | 2.60 | 3.07 |
Advance Tax paid & TDS | 115033.60 | 93443.00 | 75270.60 | 57429.69 | 51512.30 |
Other Advances | | | | | |
Other Assets | 135553.10 | 143173.60 | 152273.90 | 168434.19 | 182424.29 |
Accrued / Outstanding Income on investments | 21253.20 | 19270.40 | 15686.39 | 12822.99 | 11619.40 |
Outstanding balances | | | | | |
Due from Other Insurance Agency | 107249.00 | 90829.00 | 105537.94 | 111060.88 | 127099.12 |
Deposits with RBI | | | | | |
Others | | | | | |
Current Liabilities & Provisions | | | | | |
Current Liabilities | 862326.70 | 805721.30 | 758942.17 | 716515.01 | 663569.27 |
Agents Balances | | | | | |
Due to Other Insurance Companies | 44161.00 | 46378.80 | 43774.86 | 40528.69 | 33293.10 |
Premium received in advance | | | | | |
Sundra Creditors | 5989.00 | 5609.90 | 3404.97 | 22370.95 | 18941.34 |
Due to subsidiaries/Holding Companies | | | | | |
Claims Outstanding | 805367.80 | 746670.00 | 704103.73 | 643285.69 | 588439.61 |
Others | | | | | |
Provisions | 305663.90 | 270397.80 | 261691.22 | 250275.55 | 248018.61 |
Provisions for taxation | 109350.90 | 88656.60 | 74300.69 | 54425.57 | 47395.38 |
Proposed Dividend | | | | | |
Provision for Dividend Distribution Tax | | | | | |
Other Provisions | 196313.00 | 181741.20 | 187390.53 | 195849.98 | 200623.23 |
Fixed Assets | 4840.50 | 4714.70 | 4683.54 | 3456.03 | 3319.02 |
Less: Accumulated Depreciation | 1654.00 | 1536.90 | 1443.37 | 1454.11 | 1322.58 |
Less: Impairment of Assets | | | | | |
Total Net block | 3186.50 | 3177.80 | 3240.16 | 2001.92 | 1996.44 |
Total Assets | 887996.10 | 856917.40 | 674701.08 | 600450.32 | 534793.97 |
Contingent Liabilities | 265769.30 | 228561.90 | 180839.60 | 184102.48 | 123386.99 |
Claims against the company not acknowledged | 250858.10 | 224915.40 | 86925.12 | 108142.45 | 71563.46 |
Liability for partly paid investments | 194.90 | 62.60 | 113.68 | | |
Liabilities under Guarantees | 14716.30 | 3583.90 | 93800.81 | 75960.03 | 51823.53 |
Other Contingents Liabilities | | | | | |