RELIANCE GENERAL INSURANCE COMPANY LIMITED Disclosures - NON- LIFE INSURANCE COMPANIES S.No. Form No Description 1 NL-1-B-RA Revenue Account 2 NL-2-B-PL Profit & Loss Account 3 NL-3-B-BS Balance Sheet 4 NL-4-PREMIUM SCHEDULE Premium 5 NL-5-CLAIMS SCHEDULE Claims Incurred 6 NL-6-COMMISSION SCHEDULE Commission 7 NL-7-OPERATING EXPENSES SCHEDULE Operating Expenses 8 NL-8-SHARE CAPITAL SCHEDULE Share Capital 9 NL-9-PATTERN OF SHAREHOLDING SCHEDULE Pattern of Shareholding 10 NL-10-RESERVE AND SURPLUS SCHEDULE Reserves and Surplus 11 NL-11-BORROWING SCHEDULE Borrowings 12 NL-12A & B -INVESTMENT SCHEDULE Shareholders & Policyholders 13 NL-13-LOANS SCHEDULE Loans 14 NL-14-FIXED ASSETS SCHEDULE Fixed Assets 15 NL-15-CASH AND BANK BALANCE SCHEDULE Cash and Bank Balance 16 NL-16-ADVANCES AND OTHER ASSETS Advances & Other Assets 17 NL-17-CURRENT LIABILITIES SCHEDULE Current Liabilities 18 NL-18-PROVISIONS SCHEDULE Provisions 19 NL-19-MISC EXPENDITURE SCHEDULE Misc Expenditure 20 NL-21-STATEMENT OF LIABILITIES Statement of Liablities 21 NL-22-GEOGRAPHICAL DISTN OF BSNS Geographical Distribution of Business 22 NL-23- RISK CONCENTRATION Reinsurance Risk Concentration 23 NL-24-AGEING OF CLAIMS Ageing of Claims 24 NL-25-CLAIMS DATA Claims Data 25 NL-26-CLAIMS INFORMATION Claims Information 26 NL-27-OFFICE OPENING Office Opening 27 NL-28-STATEMENT OF ASSETS Statement of Investment of Assets 28 NL-29-DEBT SECURITIES Debt Securities 29 NL-30-ANALYTICAL RATIOS Analytical Ratios 30 NL-31-RELATED PARTY TRANSACTIONS Related Party Transanctions 31 NL-32-PRODUCT INFORMATION Product Information 32 NL-33-SOLVENCY MARGIN Solvency 33 NL-34-BOD Board of Directors & Management 34 NL-35-NPAs NPAs 35 NL-36-YIELD ON INVESTMENTS Yield on Investment 36 NL-37-DOWN GRADING OF INVESTMENTS Downgrading of Investment 37 NL-38-BSNS RETURNS ACROSS LOB Quarterly Business Returns for different line of business (Premium amount and number of policies) 38 NL-39-RURAL AND SOCIAL SECTOR Rural & Social Sector Obligations OBLIGATIONS 39 NL-40-CHANNEL WISE PREMIUM Business Acquisition through different channels 40 NL-41-GRIEVANCE DISPOSAL Grievance Disposal PERIODIC DISCLOSURES FORM NL-1-B-RA

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000

REVENUE ACCOUNT FOR THE PERIOD - Fire Insurance Business S.No. Particulars Schedule FOR THE UPTO THE FOR THE QUARTER UPTO THE QUARTER ENDED QUARTER ENDED ENDED JUNE 30, QUARTER ENDED JUNE 30, 2018 JUNE 30, 2018 2017 JUNE 30, 2017 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) 1 Premiums earned (Net) NL-4-Premium 194,380 194,380 165,540 165,540 Schedule 2 Profit/ (loss) on sale/redemption 1,759 1,759 4,891 4,891 of Investments (Net) 3 Interest, Dividend & Rent – Gross 44,274 44,274 35,150 35,150 4 Others-Exchange Gain / (loss) - - (1) (1) TOTAL (A) 240,413 240,413 205,580 205,580

1 Claims Incurred (Net) NL-5-Claims 90,860 90,860 170,234 170,234 Schedule 2 Commission (Net) NL-6-Commission (33,229) (33,229) (28,250) (28,250) Schedule 3 Operating Expenses related to NL-7-Operating 126,666 126,666 98,000 98,000 Insurance Business Expenses Schedule 4 Premium Deficiency - - - - TOTAL (B) 184,297 184,297 239,984 239,984 Operating Profit/(Loss) from Fire 56,116 56,116 (34,404) (34,404) Business C= (A - B) APPROPRIATIONS Transfer to Shareholders’ Account 56,116 56,116 (34,404) (34,404) Transfer to Catastrophe Reserve - - - - Transfer to Other Reserves (to be - - - - specified) TOTAL (C) 56,116 56,116 (34,404) (34,404) PERIODIC DISCLOSURES FORM NL-1-B-RA

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000 REVENUE ACCOUNT FOR THE PERIOD - Marine Insurance Business S.No. Particulars Schedule FOR THE QUARTER UPTO THE FOR THE QUARTER UPTO THE ENDED JUNE 30, QUARTER ENDED ENDED JUNE 30, QUARTER ENDED 2018 JUNE 30, 2018 2017 JUNE 30, 2017 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) 1 Premiums Earned (Net) NL-4-Premium 13,747 13,747 13,767 13,767 Schedule 2 Profit / (loss) on sale/redemption of 190 190 759 759 Investments (Net) 3 Interest, Dividend & Rent – Gross 4,785 4,785 5,452 5,452

4 Others-Exchange Gain / (loss) - - (28) (28)

TOTAL (A) 18,722 18,722 19,950 19,950 1 Claims Incurred (Net) NL-5-Claims 32,618 32,618 23,872 23,872 Schedule 2 Commission (Net) NL-6- (27,565) (27,565) (37,848) (37,848) Commission Schedule 3 Operating Expenses related to NL-7-Operating 12,370 12,370 10,631 10,631 Insurance Business Expenses Schedule 4 Premium Deficiency - - - -

TOTAL (B) 17,423 17,423 (3,345) (3,345) Operating Profit/(Loss) from Marine Business C= (A - B) 1,299 1,299 23,295 23,295 APPROPRIATIONS Transfer to Shareholders’ Account 1,299 1,299 23,295 23,295

Transfer to Catastrophe Reserve - - - - Transfer to Other Reserves (to be - - - - specified) TOTAL (C) 1,299 1,299 23,295 23,295 PERIODIC DISCLOSURES FORM NL-1-B-RA

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000 REVENUE ACCOUNT FOR THE PERIOD- Miscellaneous Insurance Business S.No. Particulars Schedule FOR THE QUARTER UPTO THE FOR THE QUARTER UPTO THE QUARTER ENDED JUNE 30, QUARTER ENDED ENDED JUNE 30, ENDED JUNE 30, 2018 JUNE 30, 2018 2017 2017

(Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) 1 Premiums earned (Net) NL-4-Premium 7,078,569 7,078,569 6,387,916 6,387,916 Schedule 2 Profit/ (loss) on sale/redemption 49,199 49,199 143,736 143,736 of Investments (Net) 3 Interest, Dividend & Rent – Gross 1,238,324 1,238,324 1,032,978 1,032,978 4 Others - Exchange Gain/(Loss) (107) (107) 1,045 1,045 - Miscellaneous Income 939 939 457 457 TOTAL (A) 8,366,924 8,366,924 7,566,132 7,566,132 1 Claims Incurred (Net) NL-5-Claims 5,991,706 5,991,706 5,012,205 5,012,205 Schedule 2 Commission (Net) NL-6- Commission 143,564 143,564 (12,336) (12,336) Schedule 3 Operating Expenses related to NL-7-Operating Insurance Business Expenses 1,950,736 1,950,736 2,303,934 2,303,934 Schedule 4 Premium Deficiency - - - - TOTAL (B) 8,086,006 8,086,006 7,303,803 7,303,803 Operating Profit/(Loss) from Miscellaneous Business C= (A - B) 280,918 280,918 262,329 262,329

APPROPRIATIONS Transfer to Shareholders’ Account 280,918 280,918 262,329 262,329 Transfer to Catastrophe Reserve - - - - Transfer to Other Reserves (to be - - - - specified) TOTAL (C) 280,918 280,918 262,329 262,329 PERIODIC DISCLOSURES FORM NL-2-B-PL

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000

PROFIT AND LOSS ACCOUNT FOR THE PERIOD S.No. Particulars Schedule FOR THE QUARTER UPTO THE FOR THE QUARTER UPTO THE ENDED JUNE 30, QUARTER ENDED ENDED JUNE 30, QUARTER ENDED 2018 JUNE 30, 2018 2017 JUNE 30, 2017 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) 1 OPERATING PROFIT/(LOSS) (a) Fire Insurance 56,116 56,116 (34,404) (34,404) (b) Marine Insurance 1,299 1,299 23,295 23,295 (c ) Miscellaneous Insurance 280,918 280,918 262,329 262,329 2 INCOME FROM INVESTMENTS (a) Interest, Dividend & Rent – Gross 288,228 288,228 239,297 239,297 (b) Profit on sale/ redemption of investments 12,319 12,319 42,252 42,252 Less: Loss on sale/ redemption of investments (867) (867) (8,954) (8,954) 3 OTHER INCOME (to be specified) (a) Profit / (Loss) on Sale/ discard of Assets 56 56 (169) (169) (b) Miscellaneous Income 190 190 1,678 1,678 (c ) Excess Provision Written Back 12,236 12,236 2,568 2,568 TOTAL (A) 650,495 650,495 527,892 527,892 4 PROVISIONS (Other than taxation) (a) For diminution in the value of investments - - - - (b) For doubtful debts - - 22,577 22,577 (c) Others :- Bad debt w/off - - - - Less: Provision Held - - - - 5 OTHER EXPENSES Expenses other than those related to Insurance Business - Empoyee's remuneration and welfare benefits 8,822 8,822 7,418 7,418 - Managerial remuneration 3,100 3,100 2,475 2,475 - Amortisation of Debenture Expenses 727 727 727 727 - Finance Cost 12,095 12,095 -

- Interest on Non Convertible Debenture 52,182 52,182 52,182 52,182

- Corporate Social Responsibility Expense - - - -

- Penalty - - - - - Exchange Gain / (loss) - - - - TOTAL (B) 76,926 76,926 85,379 85,379 Profit / (Loss) Before Tax (A-B) 573,569 573,569 442,513 442,513 Provision for Taxation (a) Current Tax 99,454 99,454 91,700 91,700 (b) Deferred Tax - - - - (c) MAT Credit (99,454) (99,454) (91,700) (91,700) Profit / (Loss) After Tax 573,569 573,569 442,513 442,513 APPROPRIATIONS (a) Interim dividends paid during the period - - - - (b) Final dividend - - 62,887 62,887 (c) Dividend distribution tax - - 12,802 12,802 (d) Debenture Redemption Reserve 15,972 15,972 79,861 79,861

Balance of profit/ loss brought forward from last 3,740,821 3,740,821 2,294,255 2,294,255 period Balance carried forward to Balance Sheet 4,298,418 4,298,418 2,581,218 2,581,218 PERIODIC DISCLOSURES FORM NL-3-B-BS

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000

BALANCE SHEET AS AT JUNE 30, 2018 Particulars Schedule AS AT 30TH JUNE, 2018 AS AT 30TH JUNE, 2017 (Rs. In '000) (Rs. In '000) SOURCES OF FUNDS SHARE CAPITAL NL-8-Share Capital 2,515,499 1,257,750 Schedule RESERVES AND SURPLUS NL-10-Reserves and 12,109,218 11,585,879 Surplus Schedule FAIR VALUE CHANGE ACCOUNT-SHAREHOLDER (24,660) 20,274

FAIR VALUE CHANGE ACCOUNT-POLICYHOLDER (110,144) 90,961

BORROWINGS NL-11-Borrowings 3,300,000 2,300,000 Schedule

TOTAL 17,789,913 15,254,864

APPLICATION OF FUNDS INVESTMENTS-SHAREHOLDER NL-12A -Investment 15,111,966 12,554,416 Schedule INVESTMENTS-POLICYHOLDER NL-12B-Investment 67,498,367 56,324,110 Schedule LOANS NL-13-Loans Schedule - - FIXED ASSETS NL-14-Fixed Assets 343,033 335,754 Schedule DEFERRED TAX ASSET 372,735 372,735 CURRENT ASSETS Cash and Bank Balances NL-15-Cash and bank 933,323 1,105,144 balance Schedule Advances and Other Assets NL-16-Advances and 10,802,798 8,201,622 Other Assets Schedule Sub-Total (A) 11,736,121 9,306,766 CURRENT LIABILITIES NL-17-Current Liabilities 60,161,534 49,956,087 Schedule PROVISIONS NL-18-Provisions 17,110,775 13,682,830 Schedule Sub-Total (B) 77,272,309 63,638,917 NET CURRENT ASSETS (C) = (A - B) (65,536,188) (54,332,151) MISCELLANEOUS EXPENDITURE (to the extent not NL-19-Miscellaneous - - written off or adjusted) Expenditure Schedule DEBIT BALANCE IN PROFIT AND LOSS ACCOUNT - -

TOTAL 17,789,913 15,254,864 PERIODIC DISCLOSURES FORM NL-3-B-BS

RELIANCE GENERAL INSURANCE COMPANY LIMITED

Registration No. and Date of Registration with the IRDA: Regn. No. 103 dated 23.10.2000 CONTINGENT LIABILITIES Particulars AS AT 30TH JUNE, 2018 AS AT 30TH JUNE, 2017 (Rs. In '000) (Rs. In '000) Partly paid-up investments - - Underwriting commitments outstanding (in respect of shares and securities) - -

Claims, other than against policies, not acknowledged as debts by the company 48,495 43,244 ` Guarantees given by or on behalf of the Company 12,487 1,070

Statutory demands/ liabilities in dispute, not provided for (see note ('c) and (e) 550,737 7,277 below) Reinsurance obligations to the extent not provided for in accounts - -

Others (see note (f) below) 13,925 13,925 TOTAL 625,644 65,516

Notes: a) Service Tax Department had filed an appeal before CESTAT on the issue of availment of Cenvat Credit in excess of restriction of 20% of output service tax liability during financial year 2006-07 as per erstwhile Rule 6(3)(c) of Cenvat Credit Rules amounting to Rs 160,848 thousands. Based on the favourable order from Principal Commissioner, Service Tax-II, , the management does not expect any outflow of economic benefits and assessed the likelihood of outflow of resources as remote, hence not consider in above table.

b) Service Tax Department had filed an appeal before CESTAT on the issue of Wrong availment of Input Credit for the financial year from 2006-07 to 2010-11 amounting to Rs 845 thousand. Based on the favourable order from Principal Commissioner, Service Tax-II, Mumbai, the management does not expect any outflow of economic benefits and assessed the likelihood of outflow of resources as remote.

c) The Company has received adverse order on the issue of wrong availment of cenvat credit amounted to Rs 274,566 thousands for the period FY 2009-10 to FY 2012-13. A penalty is also imposed on the said order of Rs 274,566 thousands. The Company is in the process of filing the appeal with CESTAT against the same. d) The Show cause notices issued by Tax Authorities have not been considered as obligations by the company. The demand notices are classified as disputed only when the same are confirmed by the Appellate Authority.

e)The Company had disputed the demand raised by the income tax department for non deduction of tax at source for Rs 1,238 thousands for A.Y. 2009-10 and for section 14A disallowance for Rs 367 thousand for A.Y. 2007-08. f) Statutory bonus of Rs 13,925 thousands pursuant to retrospective amendment in the Bonus Act, 1965 for financial year 2014-15 have not been provided considering stay orders of Hon’ble Kerala High Court and Karnataka High Court. PERIODIC DISCLOSURES FORM NL-4 - PREMIUM SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

PREMIUM EARNED [NET]

Premium from Adjustment for Premium on Premium on Change in Net Premium Gross Earned Net Premium Particulars Period ended direct business Service tax/GST change in reserve reinsurance reinsurance reserve for Earned Premium (3+7-8) written for unexpired risks accepted ceded unexpired risks (9+5+10)

1 2 3 4 5 6 7 8 9 10 11 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) Fire For Q1 - 2018-19 1,641,036 - (755,104) 885,932 94,913 1,298,673 437,276 512,208 194,380 Up to Q1-2018-19 1,641,036 - (755,104) 885,932 94,913 1,298,673 437,276 512,208 194,380 Marine Cargo For Q1 - 2018-19 331,817 - (200,453) 131,364 917 289,619 43,115 170,724 13,386 Up to Q1-2018-19 331,817 - (200,453) 131,364 917 289,619 43,115 170,724 13,386 Marine Hull For Q1 - 2018-19 25,462 - 7,914 33,376 - 25,140 322 (7,875) 361 Up to Q1-2018-19 25,462 - 7,914 33,376 - 25,140 322 (7,875) 361 Marine Total For Q1 - 2018-19 357,279 - (192,539) 164,740 917 314,759 43,437 162,849 13,747 Up to Q1-2018-19 357,279 - (192,539) 164,740 917 314,759 43,437 162,849 13,747 Motor OD For Q1 - 2018-19 3,184,856 - (161,314) 3,023,542 - 828,650 2,356,206 161,882 2,356,773 Up to Q1-2018-19 3,184,856 - (161,314) 3,023,542 - 828,650 2,356,206 161,882 2,356,773 Motor TP For Q1 - 2018-19 3,724,905 - (444,954) 3,279,951 - 935,549 2,789,356 247,109 2,591,512 Up to Q1-2018-19 3,724,905 - (444,954) 3,279,951 - 935,549 2,789,356 247,109 2,591,512 Motor Total For Q1 - 2018-19 6,909,761 - (606,268) 6,303,493 - 1,764,199 5,145,562 408,991 4,948,285 Up to Q1-2018-19 6,909,761 - (606,268) 6,303,493 - 1,764,199 5,145,562 408,991 4,948,285 Employer's Liability For Q1 - 2018-19 32,304 - (5,546) 26,758 - 1,615 30,689 277 25,420 Up to Q1-2018-19 32,304 - (5,546) 26,758 - 1,615 30,689 277 25,420 Public Liability For Q1 - 2018-19 86,252 - (9,214) 77,038 - 28,094 58,158 (30,933) 18,011 Up to Q1-2018-19 86,252 - (9,214) 77,038 - 28,094 58,158 (30,933) 18,011 Engineering For Q1 - 2018-19 222,284 - (61,449) 160,835 7,177 166,693 62,768 51,945 53,264 Up to Q1-2018-19 222,284 - (61,449) 160,835 7,177 166,693 62,768 51,945 53,264 Aviation For Q1 - 2018-19 28,915 - (7,548) 21,367 - 28,590 325 7,483 260 Up to Q1-2018-19 28,915 - (7,548) 21,367 - 28,590 325 7,483 260 Personal Accident For Q1 - 2018-19 178,604 - (104,380) 74,224 - 16,753 161,851 3,638 61,109 Up to Q1-2018-19 178,604 - (104,380) 74,224 - 16,753 161,851 3,638 61,109 Health For Q1 - 2018-19 4,615,107 - (2,893,215) 1,721,892 - 308,012 4,307,095 174,461 1,588,341 Up to Q1-2018-19 4,615,107 - (2,893,215) 1,721,892 - 308,012 4,307,095 174,461 1,588,341 Weather and Crop Insurance For Q1 - 2018-19 1,418,024 - 305,874 1,723,898 - 1,170,446 247,578 (238,582) 314,870 Up to Q1-2018-19 1,418,024 - 305,874 1,723,898 - 1,170,446 247,578 (238,582) 314,870 Other Misc. For Q1 - 2018-19 116,293 - (23,964) 92,329 - 39,079 77,214 15,759 69,009 Up to Q1-2018-19 116,293 - (23,964) 92,329 - 39,079 77,214 15,759 69,009 Misc Total For Q1 - 2018-19 13,607,544 - (3,405,711) 10,201,833 7,177 3,523,481 10,091,240 393,040 7,078,569 Up to Q1-2018-19 13,607,544 - (3,405,711) 10,201,833 7,177 3,523,481 10,091,240 393,040 7,078,569 For Q1 - 2018-19 15,605,859 - (4,353,354) 11,252,505 103,007 5,136,913 1,068,097 Grand Total 10,571,953 7,286,696 Up to Q1-2018-19 15,605,859 - (4,353,354) 11,252,505 103,007 5,136,913 10,571,953 1,068,097 7,286,696 PERIODIC DISCLOSURES FORM NL-4 - PREMIUM SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

PREMIUM EARNED [NET]

Premium from Adjustment for Premium on Premium on Change in Net Premium Gross Earned Net Premium Particulars Period ended direct business Service tax/GST change in reserve reinsurance reinsurance reserve for Earned Premium (3+7-8) written for unexpired risks accepted ceded unexpired risks (9+5+10)

1 2 3 4 5 6 7 8 9 10 11 Fire For Q1 - 2017-18 1,371,517 - (583,394) 788,123 46,872 1,041,510 376,879 372,055 165,540 Up to Q1-2017-18 1,371,517 - (583,394) 788,123 46,872 1,041,510 376,879 372,055 165,540 Marine Cargo For Q1 - 2017-18 315,054 - (190,298) 124,756 1,111 273,965 42,200 161,868 13,770 Up to Q1-2017-18 315,054 - (190,298) 124,756 1,111 273,965 42,200 161,868 13,770 Marine Hull For Q1 - 2017-18 33,109 - (34,798) (1,689) - 32,695 414 34,381 (3) Up to Q1-2017-18 33,109 - (34,798) (1,689) - 32,695 414 34,381 (3) Marine Total For Q1 - 2017-18 348,163 - (225,095) 123,068 1,111 306,660 42,614 196,248 13,767 Up to Q1-2017-18 348,163 - (225,095) 123,068 1,111 306,660 42,614 196,248 13,767 Motor OD For Q1 - 2017-18 2,922,018 - (470,502) 2,451,516 - 613,660 2,308,358 93,668 1,931,525 Up to Q1-2017-18 2,922,018 - (470,502) 2,451,516 - 613,660 2,308,358 93,668 1,931,525 Motor TP For Q1 - 2017-18 3,069,046 - (514,868) 2,554,178 - 626,064 2,442,982 102,938 2,031,051 Up to Q1-2017-18 3,069,046 - (514,868) 2,554,178 - 626,064 2,442,982 102,938 2,031,051 Motor Total For Q1 - 2017-18 5,991,064 - (985,370) 5,005,694 - 1,239,724 4,751,340 196,606 3,962,576 Up to Q1-2017-18 5,991,064 - (985,370) 5,005,694 - 1,239,724 4,751,340 196,606 3,962,576 Employer's Liability For Q1 - 2017-18 26,969 - (4,218) 22,751 - 1,348 25,621 211 21,614 Up to Q1-2017-18 26,969 - (4,218) 22,751 - 1,348 25,621 211 21,614 Public Liability For Q1 - 2017-18 254,879 - (177,624) 77,255 13,333 214,140 54,072 141,370 17,818 Up to Q1-2017-18 254,879 - (177,624) 77,255 13,333 214,140 54,072 141,370 17,818 Engineering For Q1 - 2017-18 184,862 - (68,758) 116,104 30,032 156,807 58,087 54,880 44,209 Up to Q1-2017-18 184,862 - (68,758) 116,104 30,032 156,807 58,087 54,880 44,209 Aviation For Q1 - 2017-18 20,188 - (5,117) 15,071 - 19,807 381 5,062 326 Up to Q1-2017-18 20,188 - (5,117) 15,071 - 19,807 381 5,062 326 Personal Accident For Q1 - 2017-18 105,161 - (32,430) 72,731 - 10,290 94,871 610 63,051 Up to Q1-2017-18 105,161 - (32,430) 72,731 - 10,290 94,871 610 63,051 Health For Q1 - 2017-18 3,172,282 - (1,870,196) 1,302,086 32 246,542 2,925,772 151,827 1,207,403 Up to Q1-2017-18 3,172,282 - (1,870,196) 1,302,086 32 246,542 2,925,772 151,827 1,207,403 Weather and Crop Insurance For Q1 - 2017-18 1,091,866 - 28,396 1,120,262 - 89,921 1,001,946 (22,149) 1,008,193 Up to Q1-2017-18 1,091,866 - 28,396 1,120,262 - 89,921 1,001,946 (22,149) 1,008,193 Other Misc. For Q1 - 2017-18 120,551 - (34,765) 85,785 1 33,558 86,993 10,498 62,726 Up to Q1-2017-18 120,551 - (34,765) 85,785 1 33,558 86,993 10,498 62,726 Misc Total For Q1 - 2017-18 10,967,822 - (3,150,083) 7,817,739 43,398 2,012,137 8,999,083 538,916 6,387,916 Up to Q1-2017-18 10,967,822 - (3,150,083) 7,817,739 43,398 2,012,137 8,999,083 538,916 6,387,916 For Q1 - 2017-18 12,687,502 - (3,958,572) 8,728,930 91,381 3,360,307 1,107,219 6,567,223 Grand Total 9,418,576 Up to Q1-2017-18 12,687,502 - (3,958,572) 8,728,930 91,381 3,360,307 9,418,576 1,107,219 6,567,223 PERIODIC DISCLOSURES FORM NL-5 - CLAIMS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

CLAIMS INCURRED [NET]

Claims Out-standing Claims Paid from Claims Paid on Out-standing Net Claims Recovered on Net Caims Paid Claims at the Particulars Period ended direct business reinsurance Claims at the Incurred reinsurance (3+4-5) beginning of the written accepted end of the period (6+7-8) ceded period

1 2 3 4 5 6 7 8 9 Fire For Q1 - 2018-19 420,135 4,606 349,693 75,048 895,482 879,670 90,860 Up to Q1-2018-19 420,135 4,606 349,693 75,048 895,482 879,670 90,860 Marine Cargo For Q1 - 2018-19 97,779 - 79,663 18,116 213,404 197,075 34,445 Up to Q1-2018-19 97,779 - 79,663 18,116 213,404 197,075 34,445 Marine Hull For Q1 - 2018-19 133 - 126 7 2,410 4,244 (1,827) Up to Q1-2018-19 133 - 126 7 2,410 4,244 (1,827) Marine Total For Q1 - 2018-19 97,912 - 79,789 18,123 215,814 201,319 32,618 Up to Q1-2018-19 97,912 - 79,789 18,123 215,814 201,319 32,618 Motor OD For Q1 - 2018-19 1,677,271 - 353,516 1,323,755 1,476,299 1,173,288 1,626,766 Up to Q1-2018-19 1,677,271 - 353,516 1,323,755 1,476,299 1,173,288 1,626,766 Motor TP For Q1 - 2018-19 1,334,780 - 353,507 981,273 35,074,000 33,771,913 2,283,360 Up to Q1-2018-19 1,334,780 - 353,507 981,273 35,074,000 33,771,913 2,283,360 Motor Total For Q1 - 2018-19 3,012,051 - 707,023 2,305,028 36,550,299 34,945,201 3,910,126 Up to Q1-2018-19 3,012,051 - 707,023 2,305,028 36,550,299 34,945,201 3,910,126 Employer's Liability For Q1 - 2018-19 8,463 - 450 8,013 176,718 169,867 14,864 Up to Q1-2018-19 8,463 - 450 8,013 176,718 169,867 14,864 Public Liability For Q1 - 2018-19 1,144 - 68 1,076 143,794 138,613 6,257 Up to Q1-2018-19 1,144 - 68 1,076 143,794 138,613 6,257 Engineering For Q1 - 2018-19 30,172 484 12,897 17,759 252,568 160,226 110,101 Up to Q1-2018-19 30,172 484 12,897 17,759 252,568 160,226 110,101 Aviation For Q1 - 2018-19 - - - - 2,229 2,551 (322) Up to Q1-2018-19 - - - - 2,229 2,551 (322) Personal Accident For Q1 - 2018-19 51,376 - 7,775 43,601 359,504 369,081 34,024 Up to Q1-2018-19 51,376 - 7,775 43,601 359,504 369,081 34,024 Health For Q1 - 2018-19 1,590,535 - 51,115 1,539,420 2,116,401 2,065,769 1,590,052 Up to Q1-2018-19 1,590,535 - 51,115 1,539,420 2,116,401 2,065,769 1,590,052 Weather and Crop Insurance For Q1 - 2018-19 5,238,114 - 4,085,730 1,152,385 1,679,568 2,521,568 310,385 Up to Q1-2018-19 5,238,114 - 4,085,730 1,152,385 1,679,568 2,521,568 310,385 Other Misc. For Q1 - 2018-19 26,994 - 1,428 25,565 144,403 153,749 16,219 Up to Q1-2018-19 26,994 - 1,428 25,565 144,403 153,749 16,219 Misc Total For Q1 - 2018-19 9,958,849 484 4,866,486 5,092,847 41,425,484 40,526,625 5,991,706 Up to Q1-2018-19 9,958,849 484 4,866,486 5,092,847 41,425,484 40,526,625 5,991,706 For Q1 - 2018-19 10,476,896 5,090 5,295,968 5,186,018 42,536,780 41,607,614 6,115,184 Grand Total Up to Q1-2018-19 10,476,896 5,090 5,295,968 5,186,018 42,536,780 41,607,614 6,115,184 PERIODIC DISCLOSURES FORM NL-5 - CLAIMS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

CLAIMS INCURRED [NET]

Claims Out-standing Claims Paid from Claims Paid on Out-standing Recovered on Net Caims Paid Claims at the Net Claims Incurred Particulars Period ended direct business reinsurance Claims at the reinsurance (3+4-5) beginning of the (6+7-8) written accepted end of the period ceded period 1 2 3 4 5 6 7 8 9 Fire For Q1 - 2017-18 707,721 369 599,502 108,588 906,785 845,139 170,234 Up to Q1-2017-18 707,721 369 599,502 108,588 906,785 845,139 170,234 Marine Cargo For Q1 - 2017-18 129,693 - 104,716 24,977 239,647 242,183 22,441 Up to Q1-2017-18 129,693 - 104,716 24,977 239,647 242,183 22,441 Marine Hull For Q1 - 2017-18 44 - 43 1 1,603 173 1,431 Up to Q1-2017-18 44 - 43 1 1,603 173 1,431 Marine Total For Q1 - 2017-18 129,737 - 104,759 24,978 241,250 242,356 23,872 Up to Q1-2017-18 129,737 - 104,759 24,978 241,250 242,356 23,872 Motor OD For Q1 - 2017-18 1,394,684 - 268,063 1,126,621 952,403 957,380 1,121,644 Up to Q1-2017-18 1,394,684 - 268,063 1,126,621 952,403 957,380 1,121,644 Motor TP For Q1 - 2017-18 1,779,267 - 436,543 1,342,724 29,691,585 29,043,088 1,991,221 Up to Q1-2017-18 1,779,267 - 436,543 1,342,724 29,691,585 29,043,088 1,991,221 Motor Total For Q1 - 2017-18 3,173,951 - 704,606 2,469,345 30,643,988 30,000,468 3,112,865 Up to Q1-2017-18 3,173,951 - 704,606 2,469,345 30,643,988 30,000,468 3,112,865 Employer's Liability For Q1 - 2017-18 6,483 - 363 6,120 131,127 125,275 11,972 Up to Q1-2017-18 6,483 - 363 6,120 131,127 125,275 11,972 Public Liability For Q1 - 2017-18 1,525 - 105 1,420 114,131 104,305 11,246 Up to Q1-2017-18 1,525 - 105 1,420 114,131 104,305 11,246 Engineering For Q1 - 2017-18 58,615 299 26,736 32,178 167,635 172,537 27,276 Up to Q1-2017-18 58,615 299 26,736 32,178 167,635 172,537 27,276 Aviation For Q1 - 2017-18 10,014 - 10,002 12 2,342 2,428 (74) Up to Q1-2017-18 10,014 - 10,002 12 2,342 2,428 (74) Personal Accident For Q1 - 2017-18 146,483 - 33,506 112,977 363,209 452,748 23,438 Up to Q1-2017-18 146,483 - 33,506 112,977 363,209 452,748 23,438 Health For Q1 - 2017-18 1,384,757 - 91,291 1,293,466 1,044,439 1,033,864 1,304,041 Up to Q1-2017-18 1,384,757 - 91,291 1,293,466 1,044,439 1,033,864 1,304,041 Weather and Crop Insurance For Q1 - 2017-18 2,368,145 - 1,899,695 468,450 1,285,536 1,239,684 514,302 Up to Q1-2017-18 2,368,145 - 1,899,695 468,450 1,285,536 1,239,684 514,302 Other Misc. For Q1 - 2017-18 16,986 - 1,288 15,698 162,958 171,517 7,139 Up to Q1-2017-18 16,986 - 1,288 15,698 162,958 171,517 7,139 Misc Total For Q1 - 2017-18 7,166,959 299 2,767,592 4,399,666 33,915,366 33,302,826 5,012,205 Up to Q1-2017-18 7,166,959 299 2,767,592 4,399,666 33,915,366 33,302,826 5,012,205 8,004,417 668 3,471,853 4,533,232 35,063,401 34,390,321 5,206,311 Grand Total For Q1 - 2017-18 Up to Q1-2017-18 8,004,417 668 3,471,853 4,533,232 35,063,401 34,390,321 5,206,311 PERIODIC DISCLOSURES FORM NL-6-COMMISSION SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

COMMISSION SCHEDULE

Commission Commission paid received from Net commission Particulars Period ended Commission paid on reinsurance reinsurance (3+4-5) accepted ceded 1 2 3 4 5 6 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) Fire For Q1 - 2018-19 111,366 2,523 147,118 (33,229) Up to Q1-2018-19 111,366 2,523 147,118 (33,229) Marine Cargo For Q1 - 2018-19 29,143 9 56,224 (27,072) Up to Q1-2018-19 29,143 9 56,224 (27,072) Marine Hull For Q1 - 2018-19 598 - 1,091 (493) Up to Q1-2018-19 598 - 1,091 (493) Marine Total For Q1 - 2018-19 29,741 9 57,315 (27,565) Up to Q1-2018-19 29,741 9 57,315 (27,565) Motor OD For Q1 - 2018-19 545,108 - 259,389 285,719 Up to Q1-2018-19 545,108 - 259,389 285,719 Motor TP For Q1 - 2018-19 45,060 - 146,333 (101,273) Up to Q1-2018-19 45,060 - 146,333 (101,273) Motor Total For Q1 - 2018-19 590,168 - 405,722 184,446 Up to Q1-2018-19 590,168 - 405,722 184,446 Employer's Liability For Q1 - 2018-19 4,152 - 242 3,910 Up to Q1-2018-19 4,152 - 242 3,910 Public Liability For Q1 - 2018-19 6,953 - 1,713 5,240 Up to Q1-2018-19 6,953 - 1,713 5,240 Engineering For Q1 - 2018-19 5,674 844 35,230 (28,712) Up to Q1-2018-19 5,674 844 35,230 (28,712) ` Aviation For Q1 - 2018-19 440 - 972 (532) Up to Q1-2018-19 440 - 972 (532) Personal Accident For Q1 - 2018-19 12,793 - 1,055 11,738 Up to Q1-2018-19 12,793 - 1,055 11,738 Health For Q1 - 2018-19 191,592 - 120,938 70,654 Up to Q1-2018-19 191,592 - 120,938 70,654 Weather and Crop Insurance For Q1 - 2018-19 - - 114,151 (114,151) Up to Q1-2018-19 - - 114,151 (114,151) Other Misc. For Q1 - 2018-19 13,115 - 2,144 10,971 Up to Q1-2018-19 13,115 - 2,144 10,971 Misc Total For Q1 - 2018-19 824,887 844 682,167 143,564 Up to Q1-2018-19 824,887 844 682,167 143,564 For Q1 - 2018-19 965,994 3,376 886,600 82,770 Grand Total Up to Q1-2018-19 965,994 3,376 886,600 82,770

Break-up of the expenses (Gross) incurred to procure business to be furnished as For Q1 - 2018-19 Up to Q1-2018-19 per details indicated below:

(Rs. In '000) (Rs. In '000) Agents 292,552 292,552 Brokers 445,646 445,646 Corporate agency 168,531 168,531 Web Aggregator 10,656 10,656 Motor Insurance Service 36,530 36,530 Provider (MISP) Others- IMF 12,079 12,079 TOTAL 965,994 965,994 PERIODIC DISCLOSURES FORM NL-6-COMMISSION SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

COMMISSION SCHEDULE Commission Commission paid received from Net commission Particulars Period ended Commission paid on reinsurance reinsurance (3+4-5) accepted ceded 1 2 3 4 5 6 (Rs. In '000) (Rs. In '000) (Rs. In '000) (Rs. In '000) Fire For Q1 - 2017-18 100,578 (1,211) 127,617 (28,250) Up to Q1-2017-18 100,578 (1,211) 127,617 (28,250) Marine Cargo For Q1 - 2017-18 24,545 28 63,797 (39,224) Up to Q1-2017-18 24,545 28 63,797 (39,224) Marine Hull For Q1 - 2017-18 2,861 - 1,485 1,376 Up to Q1-2017-18 2,861 - 1,485 1,376 Marine Total For Q1 - 2017-18 27,406 28 65,282 (37,848) Up to Q1-2017-18 27,406 28 65,282 (37,848) Motor OD For Q1 - 2017-18 263,770 - 190,320 73,450 Up to Q1-2017-18 263,770 - 190,320 73,450 Motor TP For Q1 - 2017-18 5,955 - 59,682 (53,727) Up to Q1-2017-18 5,955 - 59,682 (53,727) Motor Total For Q1 - 2017-18 269,725 - 250,002 19,723 Up to Q1-2017-18 269,725 - 250,002 19,723 Employer's Liability For Q1 - 2017-18 2,399 - 202 2,197 Up to Q1-2017-18 2,399 - 202 2,197 Public Liability For Q1 - 2017-18 4,603 - 8,657 (4,054) Up to Q1-2017-18 4,603 - 8,657 (4,054) Engineering For Q1 - 2017-18 14,490 1,305 14,235 1,560 Up to Q1-2017-18 14,490 1,305 14,235 1,560 ` Aviation For Q1 - 2017-18 183 - 1,244 (1,061) Up to Q1-2017-18 183 - 1,244 (1,061) Personal Accident For Q1 - 2017-18 7,755 - 569 7,186 Up to Q1-2017-18 7,755 - 569 7,186 Health For Q1 - 2017-18 60,165 - 80,075 (19,910) Up to Q1-2017-18 60,165 - 80,075 (19,910) Weather and Crop Insurance For Q1 - 2017-18 - - 13,657 (13,657) Up to Q1-2017-18 - - 13,657 (13,657) Other Misc. For Q1 - 2017-18 14,824 - 19,144 (4,320) Up to Q1-2017-18 14,824 - 19,144 (4,320) Misc Total For Q1 - 2017-18 374,144 1,305 387,785 (12,336) Up to Q1-2017-18 374,144 1,305 387,785 (12,336) For Q1 - 2017-18 502,128 122 580,684 (78,434) Grand Total Up to Q1-2017-18 502,128 122 580,684 (78,434)

Break-up of the expenses For Q1 - 2017-18 Up to Q1-2017-18 (Gross) incurred to procure business to be furnished as per details indicated below:

(Rs. In '000) (Rs. In '000) Agents 205,366 205,366 Brokers 210,691 210,691 Corporate agency 82,392 82,392 Web Aggregator 3,602 3,602 Motor Insurance Service NA NA Provider (MISP) Others-IMF 77 77 TOTAL 502,128 502,128 FORM NL-7-OPERATING EXPENSES SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

OPERATING EXPENSES RELATED TO INSURANCE BUSINESS

(Rs. In '000) S.No. 2018-19 2017-18 Particulars Marine Up to Miscellaneo Miscellaneous* Total Up to Marine For Marine Up to Miscellaneou Miscellaneou Total Up to Fire For Q1 Fire Up to Q1 Marine For Q1 Total For Q1 Fire For Q1 Fire Up to Q1 Total For Q1 Q1 us* For Q1 Upto Q1 Q1 Q1 Q1 s* For Q1 s* Up to Q1 Q1 1 Employees’ remuneration & welfare benefits 64,530 64,530 6,410 6,410 790,320 790,320 861,261 861,261 43,678 43,678 4,940 4,940 703,336 703,336 751,954 751,954 2 Company's contribution to Provident fund and others 4,786 4,786 475 475 48,635 48,635 53,896 53,896 2,916 2,916 330 330 44,938 44,938 48,184 48,184 3 Travel, conveyance and vehicle running expenses 2,512 2,512 249 249 49,821 49,821 52,582 52,582 1,449 1,449 164 164 35,337 35,337 36,950 36,950 4 Rents, rates & taxes 3,540 3,540 352 352 81,695 81,695 85,587 85,587 2,828 2,828 320 320 71,435 71,435 74,583 74,583 5 Repairs 3,920 3,920 389 389 91,868 91,868 96,177 96,177 2,817 2,817 319 319 67,513 67,513 70,649 70,649 6 Printing & Stationery 765 765 76 76 17,664 17,664 18,505 18,505 678 678 77 77 16,230 16,230 16,985 16,985 7 Communication expenses 1,436 1,436 143 143 33,953 33,953 35,532 35,532 1,216 1,216 138 138 29,017 29,017 30,370 30,370 8 Postage expenses 1,171 1,171 116 116 27,031 27,031 28,318 28,318 991 991 112 112 23,699 23,699 24,802 24,802 9 Legal & professional charges 1,351 1,351 223 223 41,637 41,637 43,211 43,211 3,122 3,122 113 113 28,233 28,233 31,468 31,468 10 Auditors Fees, expenses, etc. a. As auditor 52 52 5 5 1,194 1,194 1,251 1,251 53 53 6 6 1,264 1,264 1,323 1,323 b. As advisor or in any other capacity, in respect ------(i) Taxation matters ------(ii) Insurance matters ------(iii) Management services; and ------c. In any other capacity ------11 Advertisement and Publicity 27,980 27,980 2,779 2,779 523,083 523,083 553,842 553,842 25,482 25,482 2,881 2,881 1,013,435 1,013,435 1,041,798 1,041,798 12 Bank Charges & interest expenses others 645 645 64 64 15,408 15,408 16,117 16,117 596 596 68 68 14,235 14,235 14,899 14,899 13 Service Tax/ GST Expenses 24 24 2 2 21,471 21,471 21,497 21,497 2,588 2,588 293 293 74,238 74,238 77,119 77,119 Others : 14 Directors' Sitting fees 20 20 2 2 468 468 491 491 25 25 3 3 605 605 633 633 15 Entertainment Expenses 659 659 65 65 6,729 6,729 7,453 7,453 131 131 15 15 3,147 3,147 3,293 3,293 16 Office Maintenance Expenses 4,038 4,038 401 401 93,199 93,199 97,639 97,639 1,885 1,885 213 213 45,009 45,009 47,107 47,107 17 Training & Recruitment Expenses 905 905 90 90 16,465 16,465 17,460 17,460 2,130 2,130 241 241 48,853 48,853 51,224 51,224 18 Depreciation 1,596 1,596 159 159 36,820 36,820 38,575 38,575 1,785 1,785 197 197 41,792 41,792 43,773 43,773 19 Office Management Expenses 620 620 62 62 14,319 14,319 15,001 15,001 603 603 68 68 14,404 14,404 15,075 15,075 20 Subscriptions and Membership Fees 330 330 33 33 7,625 7,625 7,988 7,988 215 215 24 24 5,123 5,123 5,362 5,362 21 Coinsurance Expenses (net) 4,951 4,951 191 191 2,484 2,484 7,626 7,626 2,591 2,591 86 86 4,868 4,868 7,545 7,545 22 Weather Insurance Charges* - - - - 9,167 9,167 9,167 9,167 155 155 18 18 20,248 20,248 20,420 20,420 23 Miscellaneous expenses* 833 833 83 83 19,683 19,683 20,599 20,599 64 64 8 8 (3,022) (3,022) (2,950) (2,950)

Total 126,666 126,666 12,370 12,370 1,950,736 1,950,736 2,089,773 2,089,773 98,000 98,000 10,631 10,631 2,303,935 2,303,935 2,412,567 2,412,567 FORM NL-7-OPERATING EXPENSES SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

OPERATING EXPENSES RELATED TO INSURANCE BUSINESS

(Rs. In '000) S.No. 2018-19 Weather and Weather and Particulars Employer's Employer's Public Public Personal Personal Crop Crop Other Other Total Total Motor OD For Motor OD Up Motor TP For Motor TP Up Motor Total Motor Total Up Liability For Liability Up Liability For Liability Up Engineering Engineering Aviation For Aviation Up Accident For Accident Up Health For Health Up to Insurance Insurance Miscellaneou Miscellaneou Miscellaneo Miscellaneous Q1 to Q1 Q1 to Q1 For Q1 to Q1 Q1 to Q1 Q1 to Q1 For Q1 Up to Q1 Q1 to Q1 Q1 to Q1 Q1 Q1 For Q1 Up to Q1 s For Q1 s Up to Q1 us For Q1 Up to Q1 1 Employees’ remuneration & welfare benefits 172,959 172,959 204,755 204,755 377,714 377,714 4,529 4,529 8,583 8,583 9,263 9,263 48 48 10,929 10,929 290,832 290,832 77,028 77,028 11,395 11,395 790,320 790,320 2 Company's contribution to Provident fund and others 10,411 10,411 12,325 12,325 22,736 22,736 336 336 637 637 687 687 4 4 646 646 17,200 17,200 5,545 5,545 845 845 48,635 48,635 3 Travel, conveyance and vehicle running expenses 11,385 11,385 13,478 13,478 24,863 24,863 176 176 334 334 361 361 2 2 756 756 20,131 20,131 2,754 2,754 444 444 49,821 49,821 4 Rents, rates & taxes 19,075 19,075 22,582 22,582 41,656 41,656 248 248 471 471 508 508 3 3 1,310 1,310 34,869 34,869 2,005 2,005 625 625 81,695 81,695 5 Repairs 21,749 21,749 25,747 25,747 47,497 47,497 275 275 521 521 563 563 3 3 1,451 1,451 38,611 38,611 2,254 2,254 692 692 91,868 91,868 6 Printing & Stationery 4,097 4,097 4,850 4,850 8,947 8,947 54 54 102 102 110 110 1 1 281 281 7,486 7,486 548 548 135 135 17,664 17,664 7 Communication expenses 7,941 7,941 9,401 9,401 17,342 17,342 101 101 191 191 206 206 1 1 547 547 14,549 14,549 764 764 253 253 33,953 33,953 8 Postage expenses 6,312 6,312 7,472 7,472 13,784 13,784 82 82 156 156 168 168 1 1 433 433 11,534 11,534 666 666 207 207 27,031 27,031 9 Legal & professional charges 9,207 9,207 10,899 10,899 20,106 20,106 104 104 176 176 190 190 1 1 1,499 1,499 18,525 18,525 771 771 266 266 41,637 41,637 10 Auditors Fees, expenses, etc. a. As auditor 279 279 330 330 609 609 4 4 7 7 7 7 0 0 19 19 510 510 29 29 9 9 1,194 1,194 b. As advisor or in any other capacity, in respect ------(i) Taxation matters ------(ii) Insurance matters ------(iii) Management services; and ------c. In any other capacity ------11 Advertisement and Publicity 150,765 150,765 178,480 178,480 329,245 329,245 1,964 1,964 3,721 3,721 4,016 4,016 21 21 10,356 10,356 168,201 168,201 618 618 4,941 4,941 523,083 523,083 12 Bank Charges & interest expenses others 3,715 3,715 4,398 4,398 8,114 8,114 45 45 86 86 93 93 0 0 239 239 6,352 6,352 365 365 114 114 15,408 15,408 13 Service Tax/ GST Expenses 131 131 155 155 286 286 2 2 3 3 3 3 0 0 13,337 13,337 239 239 7,595 7,595 4 4 21,471 21,471 Others : 14 Directors' Sitting fees 109 109 129 129 238 238 1 1 3 3 3 3 0 0 8 8 200 200 11 11 4 4 468 468 15 Entertainment Expenses 1,443 1,443 1,708 1,708 3,151 3,151 46 46 88 88 95 95 0 0 99 99 2,625 2,625 509 509 116 116 6,729 6,729 16 Office Maintenance Expenses 21,761 21,761 25,761 25,761 47,522 47,522 283 283 537 537 580 580 3 3 1,495 1,495 39,778 39,778 2,287 2,287 714 714 93,199 93,199 17 Training & Recruitment Expenses 3,688 3,688 4,365 4,365 8,053 8,053 64 64 120 120 130 130 1 1 248 248 6,590 6,590 1,100 1,100 160 160 16,465 16,465 18 Depreciation 8,613 8,613 10,197 10,197 18,810 18,810 112 112 212 212 229 229 1 1 589 589 15,679 15,679 904 904 283 283 36,820 36,820 19 Office Management Expenses 3,343 3,343 3,958 3,958 7,301 7,301 44 44 83 83 89 89 0 0 230 230 6,111 6,111 351 351 110 110 14,319 14,319 20 Subscriptions and Membership Fees 1,780 1,780 2,108 2,108 3,888 3,888 23 23 44 44 47 47 0 0 122 122 3,254 3,254 187 187 58 58 7,625 7,625 21 Coinsurance Expenses (net) 0 0 0 0 0 0 0 0 290 290 539 539 30 30 (68) (68) 1,503 1,503 0 0 191 191 2,484 2,484 22 Weather Insurance Charges ------9,167 9,167 - - 9,167 9,167 23 Miscellaneous expenses 4,699 4,699 5,563 5,563 10,262 10,262 58 58 111 111 120 120 1 1 308 308 8,205 8,205 472 472 147 147 19,683 19,683

Total 463,462 463,462 548,662 548,662 1,012,123 1,012,123 8,551 8,551 16,474 16,474 18,006 18,006 120 120 44,834 44,834 712,984 712,984 115,931 115,931 21,713 21,713 1,950,736 1,950,736

(Rs. In '000) S.No. 2017-18 Weather and Weather and Particulars Employer's Employer's Public Public Personal Personal Crop Crop Other Other Total Total Motor OD For Motor OD Up Motor TP For Motor TP Up Motor Total Motor Total Up Liability For Liability Up Liability For Liability Up Engineering Engineering Aviation For Aviation Up Accident For Accident Up Health For Health Up to Insurance Insurance Miscellaneou Miscellaneou Miscellaneo Miscellaneous Q1 to Q1 Q1 to Q1 For Q1 to Q1 Q1 to Q1 Q1 to Q1 For Q1 Up to Q1 Q1 to Q1 Q1 to Q1 Q1 Q1 For Q1 Up to Q1 s For Q1 s Up to Q1 us For Q1 Up to Q1 1 Employees’ remuneration & welfare benefits 160,071 160,071 169,407 169,407 329,478 329,478 2,970 2,970 6,268 6,268 6,733 6,733 44 44 6,209 6,209 191,482 191,482 150,066 150,066 10,085 10,085 703,336 703,336 2 Company's contribution to Provident fund and others 10,168 10,168 10,761 10,761 20,930 20,930 198 198 418 418 449 449 3 3 389 389 11,992 11,992 9,885 9,885 673 673 44,938 44,938 3 Travel, conveyance and vehicle running expenses 9,257 9,257 9,796 9,796 19,053 19,053 99 99 208 208 223 223 1 1 363 363 11,200 11,200 3,853 3,853 338 338 35,337 35,337 4 Rents, rates & taxes 19,218 19,218 20,339 20,339 39,557 39,557 192 192 406 406 436 436 3 3 712 712 21,957 21,957 7,519 7,519 653 653 71,435 71,435 5 Repairs 17,314 17,314 18,324 18,324 35,639 35,639 192 192 404 404 434 434 3 3 713 713 21,988 21,988 7,490 7,490 650 650 67,513 67,513 6 Printing & Stationery 4,168 4,168 4,411 4,411 8,578 8,578 46 46 97 97 105 105 1 1 171 171 5,273 5,273 1,803 1,803 157 157 16,230 16,230 7 Communication expenses 7,436 7,436 7,870 7,870 15,306 15,306 83 83 174 174 187 187 1 1 306 306 9,445 9,445 3,233 3,233 281 281 29,017 29,017 8 Postage expenses 6,089 6,089 6,444 6,444 12,534 12,534 67 67 142 142 153 153 1 1 249 249 7,690 7,690 2,634 2,634 230 230 23,699 23,699 9 Legal & professional charges 7,326 7,326 7,753 7,753 15,078 15,078 54 54 221 221 765 765 1 1 1,671 1,671 8,683 8,683 1,595 1,595 165 165 28,233 28,233 10 Auditors Fees, expenses, etc. a. As auditor 324 324 343 343 667 667 4 4 8 8 8 8 0 0 13 13 411 411 141 141 13 13 1,264 1,264 b. As advisor or in any other capacity, in respect ------(i) Taxation matters ------(ii) Insurance matters ------(iii) Management services; and ------c. In any other capacity ------11 Advertisement and Publicity 357,274 357,274 378,111 378,111 735,385 735,385 1,732 1,732 3,656 3,656 3,927 3,927 26 26 6,414 6,414 197,844 197,844 58,569 58,569 5,882 5,882 1,013,435 1,013,435 12 Bank Charges & interest expenses others 3,651 3,651 3,864 3,864 7,516 7,516 41 41 86 86 92 92 1 1 150 150 4,628 4,628 1,585 1,585 138 138 14,235 14,235 13 Service Tax/ GST Expenses 15,854 15,854 16,778 16,778 32,632 32,632 176 176 371 371 399 399 3 3 652 652 26,758 26,758 12,651 12,651 597 597 74,238 74,238 Others : 14 Directors' Sitting fees 155 155 164 164 319 319 2 2 4 4 4 4 0 0 6 6 197 197 67 67 6 6 605 605 15 Entertainment Expenses 811 811 858 858 1,669 1,669 9 9 19 19 20 20 0 0 33 33 1,018 1,018 349 349 30 30 3,147 3,147 16 Office Maintenance Expenses 11,545 11,545 12,219 12,219 23,764 23,764 128 128 270 270 291 291 2 2 474 474 14,633 14,633 5,011 5,011 435 435 45,009 45,009 17 Training & Recruitment Expenses 12,863 12,863 13,613 13,613 26,475 26,475 145 145 306 306 328 328 2 2 579 579 17,865 17,865 2,662 2,662 490 490 48,853 48,853 18 Depreciation 10,740 10,740 11,367 11,367 22,107 22,107 118 118 250 250 268 268 2 2 439 439 13,581 13,581 4,625 4,625 402 402 41,792 41,792 19 Office Management Expenses 3,695 3,695 3,910 3,910 7,605 7,605 41 41 87 87 93 93 1 1 152 152 4,683 4,683 1,604 1,604 139 139 14,404 14,404 20 Subscriptions and Membership Fees 1,314 1,314 1,391 1,391 2,705 2,705 15 15 31 31 33 33 0 0 54 54 1,666 1,666 570 570 50 50 5,123 5,123 21 Coinsurance Expenses (net) ------(1) (1) 298 298 314 314 10 10 66 66 4,019 4,019 - - 163 163 4,868 4,868 22 Weather Insurance Charges 951 951 1,006 1,006 1,957 1,957 11 11 22 22 24 24 0 0 39 39 1,205 1,205 16,954 16,954 36 36 20,248 20,248 23 Miscellaneous expenses (1,821) (1,821) (1,927) (1,927) (3,749) (3,749) 4 4 9 9 10 10 0 0 16 16 499 499 171 171 18 18 (3,022) (3,022)

Total 658,403 658,403 696,802 696,802 1,355,205 1,355,205 6,325 6,325 13,754 13,754 15,298 15,298 104 104 19,871 19,871 578,716 578,716 293,037 293,037 21,628 21,628 2,303,936 2,303,936 PERIODIC DISCLOSURES FORM NL-8-SHARE CAPITAL SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

SHARE CAPITAL S.No. Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) 1 Authorised Capital 30,00,00,000 (Previous Year 20,00,00,000 ) Equity 3,000,000 2,000,000 Shares of Rs10 each

2 Issued Capital 25,15,49,920 (Previous Year 12,57,74,960) Equity 2,515,499 1,257,750 Shares of Rs10 each

3 Subscribed Capital 25,15,49,920 (Previous Year 12,57,74,960) Equity 2,515,499 1,257,750 Shares of Rs10 each

4 Called-up Capital 25,15,49,920 (Previous Year 12,57,74,960) Equity 2,515,499 1,257,750 Shares of Rs10 each

Less : Calls unpaid - - Add : Equity Shares forfeited (Amount originally - - paid up)

Less : Par Value of Equity Shares bought back - -

Less : - - (i) Preliminary Expenses (ii) Expenses including commission or brokerage on underwriting or subscription of shares TOTAL 2,515,499 1,257,750

Note: Of the above 25,15,49,920 shares are held by Holding Company, Limited (as at 30.06.2017 12,57,74,960 Equity shares ). PERIODIC DISCLOSURES FORM NL-9-PATTERN OF SHAREHOLDING SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

SHARE CAPITAL PATTERN OF SHAREHOLDING [As certified by the Management]

Shareholder As at 30-06-2018 As at 30-06-2017 Number of Shares % of Holding Number of % of Holding Shares Promoters · Holding Company - Indian 251,549,920 100.00% 125,774,960 100.00% · Holding Company - Foreign - - - - TOTAL 251,549,920 100% 125,774,960 100% PERIODIC DISCLOSURES FORM NL-10-RESERVES AND SURPLUS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

RESERVES AND SURPLUS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) 1 Capital Reserve - - 2 Capital Redemption Reserve - - 3 Debenture Redemption Reserve Opening Balance 127,778 - Add:- Creation during the period 15,972 79,861 Closing Balance 143,750 79,861 4 Share Premium Opening Balance 7,667,050 8,924,800 Add :- Change during the period - - Closing Balance 7,667,050 8,924,800 5 General Reserves - - 6 Catastrophe Reserve - - 7 Other Reserves (to be specified) - - 8 Balance of Profit in Profit & Loss Account 4,298,418 2,581,218 TOTAL 12,109,218 11,585,879 PERIODIC DISCLOSURES FORM NL-11-BORROWINGS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

BORROWINGS Sr No. Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) 1 Debentures/ Bonds : Unsecured - Long 2,300,000 2,300,000 Term 2 Banks - - 3 Financial Institutions - - 4 Others- 1,000,000 - Due within 12 month - Collateralized Borrowing and Lending Obligation (CBLO)*

TOTAL 3,300,000 2,300,000 *Securities Pledge with Clearing Corporation of India Limited (CCIL) against CBLO:- Face Value Rs 10,06,822 thousands and Amortised Book Value Rs 11,00,234 thousands (as at 30.06.2017 NIL and as at 31.03.2018 NIL) PERIODIC DISCLOSURES FORM NL-12A-INVESTMENT SCHEDULE (SHAREHOLDER)

RELIANCE GENERAL INSURANCE COMPANY LIMITED

INVESTMENTS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) LONG TERM INVESTMENTS 1 Government securities and Government guaranteed bonds 5,418,137 2,993,010 including Treasury Bills 2 Other Approved Securities 1,428,134 1,707,878 3 Other Investments ( a) Shares (aa) Equity 301,528 158,513 (bb) Preference - 292 (b) Mutual Funds - - (c) Derivative Instruments - - (d) Debentures/ Bonds 3,961,110 3,591,748 (e) Other Securities (to be specified) - 38,889 (f) Subsidiaries - - (g) Investment Properties-Real Estate - - 4 Investments in Infrastructure and Social Sector 1,408,093 1,223,992 5 Other than Approved Investments 113,573 272,851 SHORT TERM INVESTMENTS 1 Government securities and Government guaranteed bonds - 27,918 including Treasury Bills 2 Other Approved Securities 2,598 - 3 Other Investments (a) Shares (aa) Equity 19,541 - (bb) Preference 297 - (b) Mutual Funds 50,035 650,417 (c) Derivative Instruments - - (d) Debentures/ Bonds 2,148,376 1,606,484 (e) Other Securities 77,083 16,402 (f) Subsidiaries - - (g) Investment Properties-Real Estate - - 4 Investments in Infrastructure and Social Sector 46,307 193,179 5 Other than Approved Investments 137,155 72,843 TOTAL 15,111,966 12,554,415 ` Notes : 1. The value of Investment Other than listed equity shares is as follows:

Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) Book Value 14,713,234 12,335,445 Market Value 14,300,468 12,507,292

2. All the above investments are performing assets.

3. The company has segregated the investments seperately between policy holders funds and share holders funds on notional basis as per IRDAI circular no. IRDA/F&A/CIR/CPM/056/03/2016 dated 04th April,2016 and IRDA/F&A/CIR/CPM/010/01/2017 dated 12th January,2017 PERIODIC DISCLOSURES FORM NL-12B-INVESTMENT SCHEDULE (POLICYHOLDER)

RELIANCE GENERAL INSURANCE COMPANY LIMITED

INVESTMENTS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) LONG TERM INVESTMENTS 1 Government securities and Government guaranteed bonds 24,200,387 13,427,834 including Treasury Bills 2 Other Approved Securities 6,378,832 7,662,219 3 Other Investments ( a) Shares (aa) Equity 1,346,790 711,152 (bb) Preference - 1,308 (b) Mutual Funds - - (c) Derivative Instruments - - (d) Debentures/ Bonds 17,692,501 16,114,013 (e) Other Securities (to be specified) - 174,474 (f) Subsidiaries - - (g) Investment Properties-Real Estate - - 4 Investments in Infrastructure and Social Sector 6,289,319 5,491,317 5 Other than Approved Investments 507,278 1,224,117 SHORT TERM INVESTMENTS 1 Government securities and Government guaranteed bonds - 125,249 including Treasury Bills 2 Other Approved Securities 11,602 - 3 Other Investments (a) Shares (aa) Equity 87,280 - (bb) Preference 1,327 - (b) Mutual Funds 223,485 2,918,030 (c) Derivative Instruments - - (d) Debentures/ Bonds 9,595,831 7,207,329 (e) Other Securities (to be specified) 344,294 73,588 (f) Subsidiaries - - (g) Investment Properties-Real Estate - - 4 Investments in Infrastructure and Social Sector 206,831 866,678 5 Other than Approved Investments 612,610 326,802 TOTAL 67,498,366 56,324,112 ` Notes : 1. The value of Investment Other than listed equity shares is as follows:

Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) Book Value 65,717,408 55,341,724 Market Value 63,873,767 56,112,696

2. All the above investments are performing assets.

3. The company has segregated the investments seperately between policy holders funds and share holders funds on notional basis as per IRDAI circular no. IRDA/F&A/CIR/CPM/056/03/2016 dated 04th April,2016 and IRDA/F&A/CIR/CPM/010/01/2017 dated 12th January,2017 PERIODIC DISCLOSURES FORM NL-13-LOANS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

LOANS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) 1 SECURITY-WISE CLASSIFICATION Secured (a) On mortgage of property (aa) In India - - (bb) Outside India - - (b) On Shares, Bonds, Govt. Securities - - (c) Others (to be specified) - - Unsecured - - TOTAL - - 2 BORROWER-WISE CLASSIFICATION (a)Central and State Governments - - (b)Banks and Financial Institutions - - (c)Subsidiaries - - (d)Industrial Undertakings - - (e)Others - Trustees of Reliance General - - Insurance Employees Benefit Trust TOTAL - - 3 PERFORMANCE-WISE CLASSIFICATION (a) Loans classified as standard (aa) In India - - (bb) Outside India - - (b) Non-performing loans less provisions (aa) In India - - (bb) Outside India - - TOTAL - - 4 MATURITY-WISE CLASSIFICATION (a)Short Term - - (b)Long Term - - TOTAL - - PERIODIC DISCLOSURES FORM NL-14-FIXED ASSETS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

FIXED ASSETS (Rs. In '000) Cost/ Gross Block Depreciation Net Block

For the Particulars As at 1st As at 30th As at 1st As at 30th As at 30th As at 30th Additions Deductions period/ Deductions April,2018 June, 2018 April,2018 June, 2018 June, 2018 June, 2017 Adjustments

Leasehold Improvement 79,969 - - 79,969 56,328 2,611 - 58,939 21,030 26,933 Furniture & Fittings 86,316 484 - 86,800 71,041 1,050 - 72,091 14,709 15,811 Information Technology 383,459 7,236 949 389,745 288,785 12,477 837 300,425 89,321 44,144 Equipment Intangible Asset (Computer 687,872 - - 687,872 569,879 16,293 - 586,172 101,700 184,326 Software) Vehicles 10,583 3,909 - 14,492 734 443 - 1,177 13,314 0 Office Equipment 222,126 3,823 147 225,802 186,356 5,697 133 191,920 33,882 36,662 Plant & Machinery 4,514 - - 4,514 4,477 5 - 4,482 32 63 TOTAL 1,474,838 15,452 1,096 1,489,193 1,177,600 38,575 969 1,215,206 273,988 307,939 Capital Work in progress 64,013 5,032 - 69,045 - - - - 69,045 27,815 Grand Total 1,538,851 20,483 1,096 1,558,239 1,177,600 38,575 969 1,215,207 343,033 335,754 Previous Year (2017-18) 1,335,176 216,731 13,056 1,538,852 1,013,438 174,036 9,873 1,177,600 361,252 - PERIODIC DISCLOSURES FORM NL-15-CASH AND BANK BALANCE SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

CASH AND BANK BALANCES S.No. Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) 1 Cash (including cheques, drafts and 36,588 60,115 stamps on hand) 2 Bank Balances (a) Deposit Accounts (i)Short-term (due within 12 months)* 10,317 1,461 (ii)Others - - (b) Current Accounts** 646,995 489,041 (c) Others - Cheques on Hand 239,423 554,527 3 Money at Call and Short Notice (a) With Banks - - (b) With other Institutions - - 4 Others (to be specified) - - TOTAL 933,323 1,105,144

Balances with non-scheduled banks - - included in (Current Accounts) above

TOTAL 933,323 1,105,144

* Short term deposit represents fixed deposit given to bank for bank guarantee. **Out of above Rs 126,798 thousand (as at 30.06.2017 Rs 127,094 thousand ) are earmarked for specified purpose in a separate bank account. PERIODIC DISCLOSURES FORM NL-16-ADVANCES AND OTHER ASSETS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

ADVANCES AND OTHER ASSETS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) ADVANCES 1 Reserve deposits with ceding companies - - 2 Application money for investments - - 3 Prepayments 293,684 177,893 4 Advances to Directors/Officers - - 5 Advance tax paid and taxes deducted at 66,554 31,959 source 6 MAT Credit Entitlement 1,072,375 642,481 Others: 7 Rental & Other Deposits 350,868 296,904 8 Advances to Staff 8,323 8,833 9 Unutilised Goods and Service Tax Credit 252,322 3,254 10 Other Advances & Deposits 703,976 656,044 1,315,489 965,035 - Less Provision for doubtful advances (85,676) (46,908) 1,229,813 918,127 TOTAL (A) 2,662,425 1,770,460 OTHER ASSETS 1 Income accrued on investments 2,297,827 1,925,248 2 Investments pertaining to Policyholder funds* 546,339 479,470 3 Outstanding Premiums 3,004,977 2,136,161 4 Agents’ Balances 2,187 935 5 Foreign Agencies Balances - - 6 Investments Sales- to be settled - - 7 Due from other entities carrying on insurance 2,702,111 2,279,326 business (including reinsurers) 8 Less : Provision for doubtful debts (413,069) (389,978) 9 Due from subsidiaries/holding cos. - - 10 Repossessed Stock - - 11 Deposit with [Pursuant - - to section 7 of Insurance Act, 1938] 12 Others - - TOTAL (B) 8,140,372 6,431,162 TOTAL (A+B) 10,802,798 8,201,622 * Corresponding figures have been regrouped/reclassified. PERIODIC DISCLOSURES FORM NL-17-CURRENT LIABILITIES SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

CURRENT LIABILITIES S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) 1 Payable to Agents 222,941 130,316 2 Balances due to other insurance companies 5,257,584 3,755,451 3 Deposits held on re-insurance ceded - - 4 Premiums received in advance 660,533 849,944 5 Unallocated Premium 1,454,058 605,049 6 Interest Accrued but not due on Borrowings 182,922 182,922 7 Sundry creditors* 2,328,854 1,401,360 8 Due to subsidiaries/ holding company - - 9 Claims Outstanding 47,948,072 41,136,379 Add : Provision for Doubtful Reinsurance 137,330 137,330 Recoveries 10 Due to Officers/ Directors - - Others: - Unclaimed Amount of Policy Holders 749,854 783,621 - Payable to policyholders** 108,244 - - Environmental Relief Fund Payable 152 153 - Employee Related Payables* 508,345 253,225 - Investments Purchased-to be settle - - - Temporary Bank Overdraft as per books of 230,045 434,699 accounts - Goods and Service Tax Liability 189,852 38,011 - Statutory Dues 182,748 247,627 TOTAL 60,161,534 49,956,087 * Corresponding figures have been regrouped/reclassified. ** The company has segregated unclaimed amount of policy holder as per IRDAI Circular Ref: IRDA/F&A/CIR/Misc/173/07/2017 dated: 25th Jul 2017. PERIODIC DISCLOSURES FORM NL-18-PROVISIONS SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

PROVISIONS S.No. Particulars As at 30-06-2018 As at 30-06-2017

(Rs. In '000) (Rs. In '000) 1 Reserve for Unexpired Risk 16,888,401 13,375,647 2 For Taxation 96,185 86,739 3 For Final dividends - 62,888 4 For dividend distribution tax - 12,802 5 Reserve for Premium Deficiency - - 6 Others: - For Grautity 21,747 21,100 - For Leave Encashment 4,442 23,654 - For Risk Reserves 100,000 100,000 TOTAL 17,110,775 13,682,830 PERIODIC DISCLOSURES FORM NL-19 MISC EXPENDITURE SCHEDULE

RELIANCE GENERAL INSURANCE COMPANY LIMITED

MISCELLANEOUS EXPENDITURE (To the extent not written off or adjusted) S.No. Particulars As at 30-06-2018 As at 30-06-2017 (Rs. In '000) (Rs. In '000) 1 Discount Allowed in issue of - - shares/ debentures 2 Others (to be specified) - - TOTAL - - PERIODIC DISCLOSURES FORM NL-21: Statement of Liabilities

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs. In Lacs ) STATEMENT OF LIABILITIES Reserve Gross Reserve Net Reserve Unearned Premium Reserve (UPR) - (a) 232,190 168,884 Premium Deficiency Reserve (PDR) - (b) - - Unexpired Risk Reserve (URR) - (c)=(a) +(b) 232,190 168,884 Outstanding Claim Reserve (other than IBNR reserve) - (d) 281,141 179,276 IBNR Reserve - (e) 410,930 301,578 Total Reserves for Technical Liabilities - (f)=(c)+(d)+(e) 924,260 649,738

Note:- The form is prepared basis the format prescribed in the Insurance Regulatory Development Authority of India (Assets, Liabilities and Solvency Margin of General Insurance Business) Regulations, 2016. PERIODIC DISCLOSURES FORM NL-22

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

GROSS DIRECT PREMIUM UNDERWRITTEN FOR AND UPTO THE QUARTER ENDED JUNE 30, 2018 (Rs. In Lacs )

Fire Marine (Cargo) Marine (Hull) Engineering Motor OD Motor TP Liability insurance Personal Accident Medical Insurance Overseas Medical Insurance Crop Insurance All Other Miscellaneous Grand Total For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- For Q1 YTD Jun- STATES 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 2018-19 18 Andhra Pradesh 191 191 1 1 - - 36 36 385 385 708 708 1 1 2 2 53 53 9 9 - - 9 9 1,394 1,394 Arunachal Pradesh 1 1 - - - - 117 117 ------118 118 Assam 504 504 3 3 - - 279 279 354 354 267 267 1 1 2 2 15 15 0 0 - - 8 8 1,433 1,433 Bihar 70 70 - - - - 73 73 333 333 481 481 0 0 0 0 9 9 0 0 - - 22 22 989 989 Chhattisgarh 602 602 1 1 - - 83 83 164 164 109 109 0 0 13 13 77 77 0 0 (45) (45) 9 9 1,014 1,014 Goa 50 50 - - - - 1 1 117 117 53 53 0 0 1 1 7 7 0 0 - - 1 1 231 231 Gujarat 1,355 1,355 237 237 73 73 120 120 4,349 4,349 4,366 4,366 144 144 139 139 1,090 1,090 59 59 - - 176 176 12,109 12,109 Haryana 651 651 15 15 - - 114 114 1,009 1,009 572 572 1 1 12 12 143 143 10 10 - - 12 12 2,539 2,539 Himachal Pradesh 125 125 1 1 - - 3 3 205 205 552 552 1 1 0 0 4 4 0 0 7 7 14 14 913 913 Jammu & Kashmir 28 28 1 1 - - 36 36 323 323 490 490 1 1 0 0 3 3 1 1 (46) (46) 6 6 843 843 Jharkhand 395 395 3 3 - - 63 63 398 398 635 635 102 102 101 101 13 13 1 1 - - 30 30 1,741 1,741 Karnataka 2,113 2,113 116 116 - - 124 124 3,394 3,394 4,646 4,646 61 61 141 141 4,298 4,298 147 147 192 192 28 28 15,258 15,258 Kerala 104 104 3 3 - - 19 19 2,111 2,111 2,281 2,281 2 2 15 15 16,280 16,280 124 124 - - 12 12 20,951 20,951 Madhya Pradesh 765 765 1 1 - - 46 46 94 94 105 105 5 5 21 21 62 62 0 0 - - 48 48 1,148 1,148 Maharasthra 2,322 2,322 781 781 34 34 218 218 6,325 6,325 9,081 9,081 494 494 399 399 8,241 8,241 750 750 (1,833) (1,833) 472 472 27,285 27,285 Manipur 2 2 - - - - 1 1 ------3 3 Meghalaya 1 1 - - - - 0 0 ------1 1 Mizoram 1 1 - - - - 0 0 ------1 1 Nagaland 3 3 ------3 3 Orissa 537 537 0 0 - - 57 57 306 306 339 339 4 4 1 1 609 609 0 0 - - 20 20 1,872 1,872 Punjab 301 301 27 27 - - 12 12 277 277 364 364 8 8 10 10 153 153 102 102 - - 39 39 1,293 1,293 Rajasthan 297 297 3 3 - - 57 57 268 268 530 530 9 9 24 24 96 96 3 3 - - 35 35 1,322 1,322 Sikkim 131 131 - - - - 35 35 ------167 167 Tamil Nadu 1,429 1,429 61 61 27 27 122 122 2,712 2,712 4,074 4,074 23 23 182 182 2,092 2,092 106 106 - - 95 95 10,924 10,924 Telangana 532 532 49 49 119 119 122 122 1,360 1,360 1,829 1,829 24 24 84 84 900 900 46 46 - - 44 44 5,111 5,111 Tripura 12 12 - - - - 8 8 ------20 20 Uttar Pradesh 1,369 1,369 2 2 - - 233 233 2,848 2,848 1,312 1,312 5 5 24 24 128 128 5 5 3,178 3,178 39 39 9,144 9,144 Uttrakhand 110 110 1 1 - - 20 20 307 307 183 183 0 0 1 1 32 32 1 1 - - 6 6 661 661 West Bengal 1,756 1,756 1,360 1,360 1 1 92 92 1,326 1,326 1,855 1,855 74 74 75 75 970 970 50 50 12,727 12,727 112 112 20,398 20,398 Andaman & Nicobar Is. 0 0 ------0 0 Chandigarh 6 6 14 14 - - 3 3 663 663 402 402 3 3 11 11 71 71 20 20 - - 14 14 1,207 1,207 Dadra & Nagra Haveli 5 5 - - - - 0 0 ------5 5 Daman & Diu 64 64 - - - - 0 0 ------64 64 Delhi 573 573 639 639 - - 126 126 2,072 2,072 1,691 1,691 221 221 529 529 8,977 8,977 379 379 - - 201 201 15,409 15,409 Lakshadweep ------Puducherry 4 4 ------147 147 326 326 - - 0 0 10 10 0 0 - - 0 0 488 488 GRAND TOTAL 16,410 16,410 3,318 3,318 255 255 2,223 2,223 31,849 31,849 37,249 37,249 1,186 1,186 1,786 1,786 44,336 44,336 1,815 1,815 14,180 14,180 1,452 1,452 156,059 156,059 PERIODIC DISCLOSURES FORM NL-23 :Reinsurance Risk Concentration

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Statement for the Quarter ended June 30, 2018 (Rs. In Lacs ) Reinsurance Risk Concentration

Premium ceded to reinsurers Premium ceded to No. of Non- reinsurers / Total S.No. Reinsurance Placements Proportional Facultative reinsurers Proportional reinsurance premium ceded (%) 1 No. of Reinsurers with rating of AAA and above 0 - - - 0.00% 2 No. of Reinsurers with rating AA but less than AAA 13 212.00 37.86 103.26 0.69% 3 No. of Reinsurers with rating A but less than AA 102 36,525.25 1,822.10 1,637.80 77.84% 4 No. of Reinsurers with rating BBB but less than A 12 2,737.94 194.14 44.31 5.79% 5 No. of Reinsurers with rating less than BBB 3 4.47 0.03 33.26 0.07% 6 No. of Indian reinsurer other then GIC 21 4,116.51 275.71 3,624.49 15.61% Total 151 43,596.17 2,329.84 5,443.12 100.00%

Note: Wherever the rating of S&P is not available, equivalent rating from other international rating agencies have been considered. (Equivalent rating based on Munich Re - Rating Categories) PERIODIC DISCLOSURES FORM NL-24 : Ageing of Claims

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Statement for the Quarter ended June 30, 2018 (Rs. In Lacs ) Ageing of Claims

Total No. of Total amount of Line of Business No. of claims paid S.No. claims paid claims paid

1 month 1 - 3 months 3 - 6 months 6 months - 1 year > 1 year 1 Fire 55 26 15 17 19 132 4,247 2 Marine Cargo 450 131 29 37 9 656 978 3 Marine Hull - 1 - - - 1 1 4 Engineering 32 29 17 14 9 101 307 5 Motor OD 48,513 4,330 1,457 503 141 54,944 16,773 6 Motor TP 25 68 91 216 2,071 2,471 13,348 7 Health 193,916 1,897 226 49 24 196,112 15,289 8 Overseas Travel 76 113 82 45 11 327 617 9 Personal Accident 142 131 39 19 41 372 514 10 Liability 5 14 11 10 3 43 96 11 Crop 194,931 - 668 - - 195,599 52,381 12 Miscellaneous 206 109 20 11 2 348 270 Total 438,351 6,849 2,655 921 2,330 451,106 104,820 PERIODIC DISCLOSURES FORM NL-25 : Quarterly claims data for Non-Life

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 No. of claims only Marine Marine Engine Overseas Personal Miscellan S.No. Claims Experience Fire Motor OD Motor TP Health Liability Crop Credit TOTAL Cargo Hull ering Travel Accident eous 1 Claims O/S at the beginning of the period 795 544 16 1,046 14,392 64,826 174,975 952 2,052 1,226 642 - 1,041 262,507 2 Claims reported during the period 443 1,096 4 224 66,282 3,892 168,987 963 642 170 222,409 - 594 465,706 3 Claims Settled during the period 132 656 1 101 54,944 2,471 196,112 327 372 43 195,599 - 348 451,106 4 Claims Repudiated during the period 93 39 - 45 1,282 55 24,133 458 267 11 - - 80 26,463 5 Claims closed during the period 35 192 1 18 5,472 1,030 1,974 49 42 8 13,044 - 182 22,047 6 Claims O/S at end of the period 978 753 18 1,106 18,976 65,162 121,743 1,081 2,013 1,334 14,408 - 1,025 228,597 Less than 3months 290 408 4 135 14,427 2,857 120,828 846 370 148 8,166 - 186 148,665 3 months to 6 months 146 45 7 42 1,888 3,502 254 99 212 102 5,629 - 27 11,953 6months to 1 year 130 46 3 61 841 6,186 196 37 279 169 106 - 43 8,097 1year and above 412 254 4 868 1,820 52,617 465 99 1,152 915 507 - 769 59,882 PERIODIC DISCLOSURES FORM NL-26 : CLAIMS INFORMATION - KG Table I

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 TABLE - IA

Required solvency margin based on net premium and net incurred claims (Rs. In Lacs ) Item No. Description PREMIUM CLAIMS Gross Premium Net Premium Gross incurred Net incurred Claim RSM-1 RSM-2 RSM claim 1 Fire 44,170 12,518 31,302 5,113 4,417 4,695 4,695 2 Marine Cargo 5,784 548 8,278 1,766 694 1,490 1,490 3 Marine Hull 1,100 9 603 12 110 90 110 4 Motor 257,636 200,548 189,008 149,359 40,110 44,808 44,808 5 Engineering 7,611 2,360 14,015 2,163 761 2,102 2,102 6 Aviation 894 11 645 1 89 97 97 7 Liabilities 2,944 2,093 1,716 1,256 442 386 442 8 Health 92,637 80,285 77,034 71,647 16,057 21,494 21,494 9 Others* 7,381 6,516 5,438 4,446 1,303 1,334 1,334 10 Crop and Weather 121,376 23,001 91,232 18,557 12,138 13,685 13,685 TOTAL 541,531 327,888 419,270 254,322 76,121 90,182 90,256

Note: Note: The form is prepared basis the format as prescribed in the Insurance Regulatory Development Authority of India (Assets, Liabilities and Solvency Margin of General Insurance Business) Regulations, 2016. PERIODIC DISCLOSURES FORM NL-27 : Offices information for Non-Life

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

S.No. Office Information Number* 1 No. of offices at the beginning of the period (As on 01.04.2018) 128 2 No. of branches approved during the period 0 3 No. of branches opened during the period Out of approvals of previous period 1 4 Out of approvals of this period 0 5 No. of branches closed during the period 0 6 No of branches at the end of the period (As on 30.06.2018) 129 7 No. of branches approved but not opened 1 8 No. of rural branches - 9 No. of urban branches 129 *Please note 12 Regional Office is excluded PERIODIC DISCLOSURES FORM NL-28-STATEMENT OF INVESTMENT ASSET INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED CODE: 103 STATEMENT AS ON 30.06.2018 PERIODICITY OF SUBMISSION : QUARTERLY STATEMENT OF INVESTMENT ASSETS (General Insurer, Re-Insurers) (Business within India) (Rs. In Lacs ) NO PARTICULARS SCH AMOUNT 1 Investments 8 826,103 2 Loans 9 - 3 Fixed Assets 10 3,430 4 Current Assets - a. Cash & Bank Balance 11 9,333 b. Advances & Other Assets 12 108,028 5 Current Liabilities - a. Current Liabilities 13 (601,615) b. Provisions 14 (171,108) 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) 174,172 OTHER ASSETS SCH AMOUNT 1 Loans (if any) 9 - 2 Fixed Assets (if any) 10 3,430 3 Cash & Bank Balance (if any) 11 9,333 4 Advances & Other Assets (if any) 12 108,028 5 Current Liabilities 13 (601,615) 6 Provisions 14 (171,108) 7 Misc. Expenses not written off 15 - 8 Debit balance of P&L A/c - - TOTAL (B) TOTAL (B) (651,932) INVESTMENT ASSETS AS PER FORM 3B (A - B) 826,103

SH PH Book Value (SH + PH) FVC Amount Total No 'Investment' represented as Reg. % Balance FRSM1 % Actual Market Value (a) (b) (c) d=(a+b+c) (e) (d + e) 1 Government Securities Not less than 20% 0 54,181 242,004 296,185 35.81% 0 296,185 278,468 Government Securities or Other Approved Securities (incl. (1) 2 Not less than 30% 0 68,489 305,908 374,397 45.27% 0 374,397 353,753 above) 3 Investment subject to Exposure Norms 0 0 0 0 0 1. Housing & Loans to SG for Housing and FFE, Infrastructure Not less than 15% 400 33,029 149,312 182,741 22.05% (301) 182,439 182,346 Investments 2.Approved Investments 0 46,749 208,806 255,555 30.90% 6 255,561 253,978 Not exceeding 55% 3.Other Investments (not exceeding 15%) 0 2,700 12,059 14,759 1.78% (1,053) 13,706 13,622 TOTAL INVESTMENT ASSETS 100% 400 150,966 676,085 827,451 100.00% (1,348) 826,103 803,699 Note:

1 FRSM refers Funds representing Solvency margin 2 Pattern of Investment will apply only to SH funds representing FRSM 3 Book value shall not include funds beyond Solvency Margin 4 Other Investments are as permitted under Sec 27A(2) 5 Investments that are earmarked, are allocated separately to policyholder's or shareholder's, as applicable; balance investments are segregated at Shareholder's level and PERIODIC DISCLOSURES FORM NL-29 Detail regarding debt securities

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs. In lacs) Detail Regarding debt securities MARKET VALUE BOOK VALUE as % of total for as % of total for as % of total for as % of total for As at 30/06/2018 As at 30/06/2017 As at 30/06/2018 As at 30/06/2017 this class this class this class this class BREAKDOWN BY CREDIT RATING AAA rated 242,092 30.97% 250,866 36.56% 242,572 30.16% 246,756 36.46% AA or better 171,775 21.97% 156,841 22.86% 173,005 21.51% 153,651 22.70% Rated below AA but above A 8,455 1.08% 13,980 2.04% 8,524 1.06% 13,623 2.01% Rated below A but above B - 0.00% 1,008 0.15% - 0.00% 999 0.15% Any other 359,420 45.98% 263,504 38.40% 380,206 47.27% 261,742 38.68% Total 781,742 100% 686,200 100% 804,306 100% 676,772 100%

BREAKDOWN BY RESIDUAL MATURITY Up to 1 year 134,303 17.18% 137,885 20.09% 134,392 16.71% 137,340 20.29% More than 1 year and upto 3 162,807 20.83% 173,448 25.28% 164,026 20.39% 170,978 25.26% years More than 3 years and up to 7 241,169 30.85% 233,464 34.02% 248,845 30.94% 229,089 33.85% years More than 7 years and up to 100,992 12.92% 72,981 10.64% 106,129 13.20% 71,681 10.59% 10 years above 10 years 142,472 18.22% 68,422 9.97% 150,914 18.76% 67,683 10.00% Total 781,742 100% 686,200 100% 804,306 100% 676,772 100%

BREAKDOWN BY TYPE OF THE INSURER a. Central Government 278,468 35.62% 166,032 24.20% 296,185 36.82% 165,740 24.49% b. State Government 75,284 9.63% 95,181 13.87% 78,212 9.72% 93,701 13.85% c.Corporate Securities 427,990 54.75% 424,986 61.93% 429,910 53.45% 417,331 61.66% Total 781,742 100% 686,200 100% 804,306 100% 676,772 100%

Note 1. In case 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 accordance with the Valuation Method specified by the Authority under Accounting/ Investment Regulations. 3. AAA rated' includes Securities having rating as P1+/A1+ 4. Any other' under 'Break down by credit rating' contains Fixed Deposit / G-Sec etc. It does not contain any Security which is rated below B 5. The above securities includes mutual fund

FORM NL-30 - Analytical Ratios

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Analytical Ratios for Non-Life companies FOR THE QUARTER UPTO THE QUARTER FOR THE QUARTER UPTO THE QUARTER S.No. Particular ENDED JUNE 30, 2018 ENDED JUNE 30, 2018 ENDED JUNE 30, 2017 ENDED JUNE 30, 2017 1 Gross Direct Premium Growth Rate (%) 23% 23% 43% 43% 2 Gross Direct Premium to Net Worth Ratio (times) 1.07 1.07 0.99 0.99 3 Growth Rate of Net worth (%) 4% 4% 3% 3% 4 Net Retention Ratio (%) 67% 67% 74% 74% 5 Net commission Ratio (%) 1% 1% -1% -1% Expense of Management to Gross Direct Premium Ratio (%) 6 20% 20% 23% 23% 7 Expense of Management to Net written Premium(%) 29% 29% 31% 31% 8 Net incurred Claims to Net Earned Premium (%) 84% 84% 79% 79% 9 Combined Ratio (%) 104% 104% 104% 104% 10 Technical Reserve to net premium ratio (times) 6.15 6.15 5.80 5.80 11 Underwriting Balance Ratio (times) -0.14 -0.14 -0.15 -0.15 12 Operating profit ratio (%) 5% 5% 4% 4% 13 Liquid Assets to Liabilities Ratio (times) 0.22 0.22 0.29 0.29 14 Net Earnings Ratio (%) 5% 5% 5% 5% 15 Retun on Net Worth Ratio (%) 4% 4% 3% 3% Available Solvency Margin (ASM) to Required Solvency 16 Margin(RSM) ratio (Times) 1.61 1.61 1.70 1.70 17 NPA Ratio (%) Gross NPA Ratio NA NA NA NA Net NPA Ratio NA NA NA NA

Equity Holding Pattern for Non-Life Insurers 1 (a) No. of shares 25,15,49,920 25,15,49,920 125,774,960 125,774,960 2 (b) Percentage of shareholding (Indian / Foreign) Indian 100% 100% 100% 100% Foreign 0% 0% 0% 0% ( c) %of Government holding (in case of public sector 0% 0% 3 0% 0% insurance companies) (a) Basic and diluted EPS before extraordinary items (net of 4 tax expense) for the period (not to be annualized) i) Basic EPS 2.28 2.28 1.76 1.76 ii) Diluted EPS 2.28 2.28 1.76 1.76 (b) Basic and diluted EPS after extraordinary items (net of tax 5 expense) for the period (not to be annualized) i) Basic EPS 2.28 2.28 1.76 1.76 ii) Diluted EPS 2.28 2.28 1.76 1.76 6 (c) Book value per share (Rs) (Refer note no. 3) 58.14 58.14 51.06 51.06

Note 1 Company has operations only in India. 2 Ratios are computed as per definition laid down by IRDA Master Circular dated October 5, 2012 and corrigendum thereon dated July 03, 2013 3 The Board of Directors at the meeting held on August 10th, 2017 recommended issue of bonus shares, in the proportion of 1:1 i.e. 1 bonus equity share of Rs 10 each for every 1 fully paid-up equity shares, which is approved by the shareholder on August 10th, 2017 . The record date for issue of bonus shares was August 10th, 2017. Accordingly weighted average number of shares have been change for Earning Per Share (EPS) computation for June 17. PERIODIC DISCLOSURES FORM NL-30 - Analytical Ratios

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Analytical Ratios for Non-Life companies Gross premium Growth Net Retention Rate Ratio Net Commission Ratio Underwriting Balance Ratio (Gross direct premium for the (Net premium (Gross Commission (Underwriting profit divided by Particulars Period ended current year divided by the divided by gross paid net of reinsurance net premium for the respective gross direct premium for the direct premium) commission divided by class of business) previous year) Net premium for that segment) Fire Upto Q1 - 2018-19 20% 25% -8% 0.05 Fire Upto Q1 - 2017-18 27% 27% -7% -0.45 Marine Cargo Upto Q1 - 2018-19 5% 13% -63% -0.45 Marine Cargo Upto Q1 - 2017-18 47% 13% -93% 1.47 Marine Hull Upto Q1 - 2018-19 -23% 1% -153% 6.67 Marine Hull Upto Q1 - 2017-18 259% 1% 333% 983.77 Motor Upto Q1 - 2018-19 15% 74% 4% -0.03 Motor Upto Q1 - 2017-18 25% 79% 0% -0.13 Employer Liability Upto Q1 - 2018-19 20% 95% 13% -0.07 Employer Liability Upto Q1 - 2017-18 -5% 95% 9% 0.05 Public Liability Upto Q1 - 2018-19 -66% 67% 9% -0.55 Public Liability Upto Q1 - 2017-18 -11% 20% -7% -0.17 Engineering Upto Q1 - 2018-19 20% 27% -46% -0.87 Engineering Upto Q1 - 2017-18 17% 27% 3% 0.00 Aviation Upto Q1 - 2018-19 43% 1% -164% 3.83 Aviation Upto Q1 - 2017-18 17% 2% -279% 3.46 Personal Accident Upto Q1 - 2018-19 70% 91% 7% -0.48 Personal Accident Upto Q1 - 2017-18 -26% 90% 8% 0.20 Health Upto Q1 - 2018-19 45% 93% 2% -0.49 Health Upto Q1 - 2017-18 127% 92% -1% -0.54 Other Miscellaneous Upto Q1 - 2018-19 -4% 66% 14% 0.30 Other Miscellaneous Upto Q1 - 2017-18 -37% 72% -5% 0.63 Crop & Weather Upto Q1 - 2018-19 30% 17% -46% 0.01 Crop & Weather Upto Q1 - 2017-18 112% 92% -1% 0.21 TOTAL Upto Q1 - 2018-19 23% 67% 1% -0.14 TOTAL Upto Q1 - 2017-18 43% 74% -1% -0.15

Note : 1. Company has operations only in India. 2. Ratios are computed as per definition laid down by IRDA Master Circular dated October 5, 2012 and corrigendum thereon dated July 03, 2013 PERIODIC DISCLOSURES FORM NL-30 - Analytical Ratios

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Analytical Ratios for Non-Life companies Gross premium Growth Net Retention Rate Ratio Net Commission Ratio Underwriting Balance Ratio (Gross direct premium for (Net premium (Gross Commission paid (Underwriting profit divided by Particulars Period ended the current year divided by divided by gross net of reinsurance net premium for the respective the gross direct premium for direct premium) commission divided by class of business) the previous year) Net premium for that segment) Fire For Q1 - 2018-19 20% 25% -8% 0.05 Fire For Q1 - 2017-18 27% 27% -7% -0.45 Marine Cargo For Q1 - 2018-19 5% 13% -63% -0.45 Marine Cargo For Q1 - 2017-18 47% 13% -93% 1.47 Marine Hull For Q1 - 2018-19 -23% 1% -153% 6.67 Marine Hull For Q1 - 2017-18 259% 1% 333% 983.77 Motor For Q1 - 2018-19 15% 74% 4% -0.03 Motor For Q1 - 2017-18 25% 79% 0% -0.13 Employer Liability For Q1 - 2018-19 20% 95% 13% -0.07 Employer Liability For Q1 - 2017-18 -5% 95% 9% 0.05 Public Liability For Q1 - 2018-19 -66% 67% 9% -0.55 Public Liability For Q1 - 2017-18 -11% 20% -7% -0.17 Engineering For Q1 - 2018-19 20% 27% -46% -0.87 Engineering For Q1 - 2017-18 17% 27% 3% 0.00 Aviation For Q1 - 2018-19 43% 1% -164% 3.83 Aviation For Q1 - 2017-18 17% 2% -279% 3.46 Personal Accident For Q1 - 2018-19 70% 91% 7% -0.48 Personal Accident For Q1 - 2017-18 -26% 90% 8% 0.20 Health For Q1 - 2018-19 45% 93% 2% -0.49 Health For Q1 - 2017-18 127% 92% -1% -0.54 Other Miscellaneous For Q1 - 2018-19 -4% 66% 14% 0.30 Other Miscellaneous For Q1 - 2017-18 -37% 72% -5% 0.63 Crop & Weather For Q1 - 2018-19 30% 17% -46% 0.01 Crop & Weather For Q1 - 2017-18 112% 92% -1% 0.21 TOTAL For Q1 - 2018-19 23% 67% 1% -0.14 TOTAL For Q1 - 2017-18 43% 74% -1% -0.15

Note : 1. Company has operations only in India. 2. Ratios are computed as per definition laid down by IRDA Master Circular dated October 5, 2012 and corrigendum thereon dated July 03, 2013 PERIODIC DISCLOSURES FORM NL-31 : Related Party Transactions

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs in Lacs) Related Party Transactions For the Quarter ended 30th Upto the Quarter ended For the Quarter ended Upto the Quarter ended S.No. Name of the Related Party Relationship Nature of transaction June ,2018 30th June ,2018 30th June ,2017 30th June ,2017 1 Reliance Capital Limited Holding Company Premium Received (net of refund) 130.92 130.92 31.30 31.30 Redemption of debentures 2,000.00 2,000.00 3,500.00 3,500.00 Reimbursement paid for expenses(Rent,Communication,Electricity,Professional fees,Maintenance Charges) - - 2.25 2.25 Management fees paid 150.00 150.00 150.00 150.00 Reimbursement paid for IT services 79.77 79.77 113.36 113.36 Interest Accrual on Debenture 453.94 453.94 521.08 521.08 Outstanding balance in Customer Deposit Account 33.77 33.77 14.65 14.65 Creditors - - 98.03 98.03 2 Reliance Asset Management Fellow Subsidiary Premium Received (net of refund) - - 232.95 232.95 Limited (formerly Reliance Capital Asset Reimbursement received for Management Limited) expenses(Rent,Communication,Electricity,canteen expenses) - - 1.13 1.13 Outstanding balance in Customer Deposit Account - - 11.57 11.57 3 Reliance Home Finance Limited Fellow Subsidiary Premium Received (net of refund) 179.26 179.26 161.73 161.73 Interest Accrual on Debenture 144.17 144.17 90.25 90.25 Outstanding balance in Customer Deposit Account 4.94 4.94 - - 4 Limited Fellow Subsidiary Premium Received (net of refund) 193.77 193.77 170.02 170.02 Commission paid 25.79 25.79 0.62 0.62 Brokerage paid for stock exchange trading 0.45 0.45 0.51 0.51 Outstanding balance in Customer Deposit Account 9.88 9.88 0.10 0.10 Creditors - - - - Debtors 0.64 0.64 0.33 0.33 5 Reliance Corporate Advisory Services Fellow Subsidiary Limited (formerly Reliance Spot Exchange Infrastructure Limited) Outstanding balance in Customer Deposit Account - - 0.22 0.22 6 Reliance Nippon Life Insurance Company Fellow Subsidiary Premium Received (net of refund) 710.05 710.05 751.87 751.87 Limited (formerly Reliance Life Insurance Group Term Insurance Paid 10.97 10.97 2.91 2.91 Company Limited) Debtors 9.06 9.06 9.06 9.06 Outstanding balance in Customer Deposit Account 8.56 8.56 41.62 41.62 7 Reliance Wealth Management Limited Fellow Subsidiary Premium Received (net of refund) 16.97 16.97 13.04 13.04 Outstanding balance in Customer Deposit Account 0.17 0.17 0.24 0.24 8 Reliance Money Solutions Private Limited Fellow Subsidiary Premium Received (net of refund) 1.80 1.80 1.78 1.78 Outstanding balance in Customer Deposit Account 0.01 0.01 0.87 0.87 9 Relinace Health Insurance Limited Fellow Subsidiary Premium Received (net of refund) 46.05 46.05 - - Outstanding balance in Customer Deposit Account 1.39 1.39 - - Reimbursement received for expenses 2.14 2.14 - - Sale of fixed assets 1.17 1.17 - - 10 Reliance Commodities Limited Fellow Subsidiary Premium Received (net of refund) 7.67 7.67 7.89 7.89 Outstanding balance in Customer Deposit Account 0.62 0.62 0.27 0.27 11 Reliance Financial Limited Fellow Subsidiary Premium Received (net of refund) 2.23 2.23 1.95 1.95 Outstanding balance in Customer Deposit Account 0.12 0.12 0.45 0.45 12 Reliance Capital Pension Fund Limited Fellow Subsidiary Premium Received (net of refund) 1.14 1.14 0.55 0.55 Outstanding balance in Customer Deposit Account 0.00 0.00 0.23 0.23 13 Reliance Commercial Finance Limited Fellow Subsidiary (formerly Reliance Gilts Limited) Premium Received (net of refund) 102.52 102.52 176.44 176.44 14 Reliance Capital AIF Trustee Company Fellow Subsidiary Private Limited Premium Received (net of refund) - - 0.00 0.00 15 Reliance Infratel Limited Common Control Premium Received (net of refund) - - 0.04 0.04 PERIODIC DISCLOSURES FORM NL-31 : Related Party Transactions

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs in Lacs) Related Party Transactions For the Quarter ended 30th Upto the Quarter ended For the Quarter ended Upto the Quarter ended S.No. Name of the Related Party Relationship Nature of transaction June ,2018 30th June ,2018 30th June ,2017 30th June ,2017 16 Limited (RCOM) Common Control Premium Received (net of refund) - - 3.43 3.43 Reimbursement paid for expenses:-(Rent , Internet & Telephone Expenses) - - 12.60 12.60 Outstanding balance in Customer Deposit Account - - 9.92 9.92 17 Reliance Infocomm Infrastructure Limited Common Control Reimbursement paid for expenses:-(Rent, Communication, Electricity, Professional fees, Maintenance Charges) - - 0.57 0.57 Creditors - - 0.55 0.55 18 Big Animation (India) Private Limited Common Control Premium Received (net of refund) - - 0.32 0.32 19 Digital Entertainment Limited Common Control Premium Received (net of refund) - - 1.78 1.78 Reimbursement paid for expenses (Online Reputation Expenses) - - 3.85 3.85 20 Reliance Telecom Limited Common Control Outstanding balance in Customer Deposit Account - - 7.95 7.95 21 Reliance IDC Limited Common Control Payment for IDC Charges - - 39.28 39.28 Creditors - - 25.70 25.70 22 Mr.Rakesh Jain Key Managerial Personnel (includes Remuneration 68.50 68.50 62.25 62.25 relatives of KMP's) Premium Received (net of refund) 0.06 0.06 0.40 0.40

*Expenses Incurred towads public utility services such as telephone and electrity charges have not been considered for related party transaction. *Claim paid to employees against group medical Policy and group personal accident policy have not been considered for related party transaction. ** Related Party Transaction are disclosed as per the requirement of Accounting Standard 18 - "Related Party Disclosure" with whom transaction has been entered during the period. *# Transaction amount consider above are excluding taxes. PERIODIC DISCLOSURES FORM NL-32 Products Information

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Products Information List below the products and/or add-ons introduced during the Quarter Ended June 30, 2018 Name of Product Co. Ref. No. IRDA Ref.no. Class of Category of Date of filing of Date IRDA confirmed S.No. Business product Product filing/ approval

1 Accidental Damage RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 2 Additional Customs Duty Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 3 Aggravation Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 4 Brand and Trademark Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 5 Capital Additions RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 6 Catalyst and Consumable (including RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 Lining and Refractory) interest in process 2017-18 18-19

7 Claim preparation Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 8 Cleaning up and other costs Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 9 Decontamination Expenses Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 10 Deliberate Damage RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 11 Expenses for Loss Minimisation / Loss RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 prevention 2017-18 18-19 12 Highest Single Deductible RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 13 Hire Purchase or Lease Agreements or RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 Properties under Consignment, Care, 2017-18 Custody and Control 14 Immediate Repairs RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 15 Inadvertent Omission RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 16 Inland Transit RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 17 Landscaping cost Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 18 Leak search / finding cost Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 19 Margin Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 20 Non-Invalidation RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 21 Non-vitiation Clause / Multiple Insured RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 Clause 2017-18 22 Obsolete equipment Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 23 Obsolete parts Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 24 Pair and set Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 25 Personal Effects Clause / Property of RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 employees and visitors 2017-18 18-19 26 Plans, Documents and Computer RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 Systems Records 2017-18 18-19 27 Professional Fees RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 28 Property in course of construction/ Minor RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 Works 2017-18 18-19 29 Protection and Preservation of Property RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 30 Removal Debris (including external RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 debris) 2017-18 18-19 31 Shutdown/ Startup Costs RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 32 Spontaneous Combustion for Coal RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 33 Temporary Removal (Excluding Stocks) RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 34 Testing and commissioning Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 35 Unoccupancy Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 36 Un-specified locations RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 37 Vehicle Load Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 PERIODIC DISCLOSURES FORM NL-32 Products Information

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

Products Information List below the products and/or add-ons introduced during the Quarter Ended June 30, 2018 Name of Product Co. Ref. No. IRDA Ref.no. Class of Category of Date of filing of Date IRDA confirmed S.No. Business product Product filing/ approval

38 Waiver of Under-Insurance RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/09/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 39 Waiver of Recourse RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 40 Additional Customs Duty Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 41 Aggravation Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 42 Brand and Trademark Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 43 Capital Additions RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 44 Catalyst and Consumable (including RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 Lining and Refractory) interest in process 2017-18 18-19

45 Claim preparation Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 46 Cleaning up and other costs Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 47 Decontamination Expenses Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 48 Deliberate Damage RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 49 Expenses for Loss Minimisation / Loss RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 prevention 2017-18 18-19 50 Highest Single Deductible RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 51 Hire Purchase or Lease Agreements or RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 Properties under Consignment, Care, 2017-18 Custody and Control 52 Immediate Repairs RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 53 Inadvertent Omission RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 54 Inland Transit RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 55 Landscaping cost Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 56 Leak search / finding cost Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 57 Margin Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 58 Non-Invalidation RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 59 Non-vitiation Clause / Multiple Insured RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 Clause 2017-18 60 Obsolete equipment Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 61 Obsolete parts Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 62 Pair and set Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 63 Personal Effects Clause / Property of RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 employees and visitors 2017-18 18-19 64 Plans, Documents and Computer RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 Systems Records 2017-18 18-19 65 Professional Fees RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 66 Property in course of construction/ Minor RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 Works 2017-18 18-19 67 Protection and Preservation of Property RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 68 Removal Debris (including external RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 debris) 2017-18 18-19 69 Shutdown/ Startup Costs RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 70 Spontaneous Combustion for Coal RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 71 Stock Declaration Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 72 Temporary Removal (Excluding Stocks) RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 73 Testing and commissioning Clause RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 74 Un-specified locations RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 75 Vehicle Load Clause RGICL/IRDAI/57/ IRDAI/NL/A/RGICL/U&F/08/20 Fire Commercial 14/02/2018 05/04/2018 2017-18 18-19 76 Waiver of Recourse RGICL/IRDAI/57/ - Fire Commercial 14/02/2018 31/05/2018 2017-18 PERIODIC DISCLOSURES FORM NL-33 : SOLVENCY MARGIN - KGII

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED TABLE - II

Solvency position as on June 30, 2018 Available Solvency Margin and Solvency Ratio (Rs. In Lacs ) Item Description Notes Amount (1) (2) (3) (4) 1 Available Assets in Policyholders’ Funds (adjusted value 1 737,173 of Assets as mentioned in Form IRDA-Assets-AA): Deduct: 2 Liabilities (reserves as mentioned in Form HG) 2 560,141

3 Other Liabilities (other liabilities in respect of 3 168,884 Policyholders’ Fund as mentioned in Balance Sheet) 4 Excess in Policyholders’ Funds (1-2-3) 8,148

5 Available Assets in Shareholders’ Funds (value of 4 185,509 Assets as mentioned in Form IRDA-Assets-AA) Deduct: 6 Other Liabilities (other liabilities in respect of 5 48,234 Shareholders’ Fund as mentioned in Balance Sheet) 7 Excess in Shareholders’ Funds (5-6) 137,275

8 Total Available Solvency Margin [ASM] (4+7) 145,423

9 Total Required Solvency Margin [RSM] 90,256

10 Solvency Ratio (Total ASM/Total RSM) 1.61

Notes 1 The Adjusted Value of Assets in respect of policyholders' funds as mentioned in Form IRDA-Assets-AA. 2 Amount of Total Liabilities as mentioned in Form HG. 3 Amount of other Liabilities arising in respect of policyholder's funds and as mentioned in the Balance Sheet. 4 Total Assets in respect of shareholder's funds as mentioned in Form IRDA-Assets-AA. 5 Amount of other Liabilities arising in respect of policyholder's funds and as mentioned in the Balance Sheet. PERIODIC DISCLOSURES FORM NL-34 : Board of Directors & Key Person

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

BOD and Key Person information S.No. Name of person Role/designation Details of change in the period 1 Mr. Rajendra Chitale Director 2 Mr. H. Ansari Director 3 Mrs. Chhaya Virani Director 4 Dr. Thomas Mathew Director 5 Mr. Lav Chaturvedi Director 6 Mr. Rakesh Jain Executive Director & CEO 7 Mr. Hemant jain CFO 8 Mr. Sudip banerjee CTO and COO Ceased w.e.f. 01.04.2018 9 Mr. K Ramkumar CIO 10 Mr. Mohan Khandekar Company Secretary & Chief Compliance Officer 11 Mr. Karthikeyan AV Appointed Actuary 12 Mrs. Nanda Sambrani Head - ERCG

Key Management Persons as defined in IRDAI Corporate Governance Guidelines issued by IRDAI on May 18, 2016. PERIODIC DISCLOSURES FORM NL-35 NON PERFORMING ASSETS-7A

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED CODE: 103 STATEMENT AS ON JUNE 30, 2018 PERIODICITY OF SUBMISSION : QUARTERLY Details Of Investment Portfolio Company Instrument Interest Rate Has there been Default Default Name Type Total O/S Interest any principal waiver? Principal Interest Principal Deferred Deferred Rolled Provision Provision COI % Has there (Book Due Classification (Book (Book Due from Principal Interest Over? Board (%) (Rs.) been value) from Amount Value) Value) Approval Ref revision?

------NIL ------

Note: 1. Category of Investment (COI) shall be as per INV/GLN/001/2003-04. 2. Form 7A shall be submitted in respect of each fund. 3. Classification shall be as per F&A Circular-169-Jan-07 Dt. 24.01.07. PERIODIC DISCLOSURES FORM NL-36 YIELD ON INVESTMENTS 1

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED CODE: 103 STATEMENT AS ON 30.06.2018 PERIODICITY OF SUBMISSION : QUARTERLY (Rs. In Lacs ) STATEMENT OF INVESTMENT AND INCOME ON INVESTMENT Cat. For the quarter ended 30th June, 2018 Upto the Quarter ended 30th June, 2018 Previous Year 2017-18 No. Category of Investment Code Investment (Rs.) Income on Gross Investment (Rs.) Income on Gross Investment (Rs.) Income on Gross Net Yield² Net Yield² Net Yield² Book Investment Yield¹ Book Investment Yield¹ Investment Yield¹ Market Value (%) Market Value (%) Book Value1 Market Value (%) Value1 (Rs.)** (%) Value1 (Rs.) (%) (Rs.) (%) 1 CENTRAL GOVERNMENT SECURITIES Central Government Bonds CGSB 293,190.23 278,468.43 5,201.12 7.12% 7.12% 293,190.23 278,468.43 5,201.12 7.12% 7.12% 194,451.99 166,032.30 4,328.34 8.93% 8.93% Treasury Bills CTRB 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% 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% STATE GOVERNMENT / OTHER APPROVED 2 SECURITIES / OTHER GUARANTEED SECURITIES State Government Bonds SGGB 78,386.49 75,284.22 1,442.09 7.38% 7.38% 78,386.49 75,284.22 1,442.09 7.38% 7.38% 75,744.32 95,181.25 1,201.81 6.36% 6.36% Other Approved Securities (excluding Infrastructure Investments) SGOA 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% HOUSING & LOANS TO STATE GOVT. FOR HOUSING 3 AND FIRE FIGHTING EQUIPMENT Bonds / Debentures issued by Authority constituted under any Housing / Building Scheme approved by Central / State / any HTDA 99,202.31 96,124.38 1,997.02 8.07% 8.07% 99,202.31 96,124.38 1,997.02 8.07% 8.07% 88,347.92 89,887.73 1,853.54 8.42% 8.42% Authority or Body constituted by Central / State Act Bonds / Debentures issued by NHB / Institutions accredited by HTDN 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% NHB Commercial Papers - NHB / Institutions accredited by NHB HTLN 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 3,927.47 2,475.97 77.06 7.87% 7.87% Debentures / Bonds / CPs / Loans - (Promoter Group) HDPG 6,489.64 6,450.06 143.42 8.86% 8.86% 6,489.64 6,450.06 143.42 8.86% 8.86% 3,988.38 4,179.62 89.48 9.00% 9.00% 4 INFRASTRUCTURE / SOCIAL SECTOR INVESTMENTS Infrastructure - PSU - Debentures / Bonds IPTD 37,659.92 36,471.86 754.03 8.03% 8.03% 37,659.92 36,471.86 754.03 8.03% 8.03% 38,299.23 39,082.65 790.52 8.28% 8.28% Infrastructure - Other Corporate Securities - Debentures/ Bonds ICTD 31,677.83 37,800.69 692.26 8.77% 8.77% 31,677.83 37,800.69 692.26 8.77% 8.77% 31,042.33 32,283.29 687.37 8.88% 8.88% Infrastructure - PSU - CPs IPCP 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% Infrastructure - Corporate Securities - Equity shares-Quoted ITCE 600.14 768.70 0.00 0.00% 0.00% 600.14 768.70 0.00 0.00% 0.00% 500.00 543.83 75.17 60.30% 60.30% Infrastructure - PSU - Equity shares - Quoted ITPE 1,574.93 1,577.32 0.00 0.00% 0.00% 1,574.93 1,577.32 0.00 0.00% 0.00% 510.29 649.24 0.00 0.00% 0.00% Long Term Bank Bonds Approved Investment- Infrastructure ILBI 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 6,004.92 6,315.35 129.01 8.62% 8.62% Infrastructure - Equity (Including Unlisted) IOEQ 128.32 106.26 0.00 0.00% 0.00% 128.32 106.26 0.00 0.00% 0.00% 105.95 74.59 0.00 0.00% 0.00% Infrastructure - Debentures / Bonds / Cps / Loans - (Promoter IOPD 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% Group) Infrastructure - Debentures / Bonds / Cps / Loans IODS 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 1,598.18 1,608.93 39.95 10.03% 10.03% Units of Infrastructure Investment Trust EIIT 2,375.06 2,330.45 72.11 12.18% 10.96% 2,375.06 2,330.45 72.11 12.18% 10.96% 2,102.80 2,133.63 0.00 0.00% 0.00% Units of Infrastructure Investment Trust OIIT 860.17 716.13 19.91 9.28% 8.36% 860.17 716.13 19.91 9.28% 8.36% 694.08 681.52 0.00 0.00% 0.00%

APPROVED INVESTMENT SUBJECT TO EXPOSURE 5 NORMS PSU - Equity shares - Quoted EAEQ 6,201.07 5,396.62 8.12 0.53% 0.53% 6,201.07 5,396.62 8.12 0.53% 0.53% 954.63 1,144.63 3.13 1.32% 1.32% Corporate Securities - Equity shares (Ordinary)- Quoted EACE 10,151.28 12,154.77 241.42 9.54% 9.54% 10,151.28 12,154.77 241.42 9.54% 9.54% 6,133.49 7,552.01 200.50 13.11% 13.11% Corporate Securities - Bonds - (Taxable) EPBT 2,002.17 1,996.60 42.44 8.50% 8.50% 2,002.17 1,996.60 42.44 8.50% 8.50% 11,436.28 15,726.75 239.38 8.40% 8.40% Corporate Securities - Debentures ECOS 171,268.87 171,945.60 3,534.34 8.28% 8.28% 171,268.87 171,945.60 3,534.34 8.28% 8.28% 138,646.89 137,294.06 3,035.44 8.78% 8.78% Commercial Papers ECCP 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 4,001.47 2,416.71 83.51 8.37% 8.37% Application Money ECAM 1,778.52 0.00 2.29 3.35% 3.35% 1,778.52 0.00 2.29 3.35% 3.35% 3,970.86 - 13.39 3.33% 3.33% Corporate Securities - Debentures / Bonds/ CPs /Loan - (Promoter EDPG 19,088.43 18,156.48 428.53 9.00% 9.00% 19,088.43 18,156.48 428.53 9.00% 9.00% 21,737.12 22,772.62 499.86 9.22% 9.22% Group) Perpetual Debt Instruments of Tier I & II Capital issued by PSU EUPD 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 1,002.64 1,009.07 22.39 8.96% 8.96% Banks Perpetual Debt Instruments of Tier I & II Capital issued by Non- EPPD 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 1,000.00 1,009.32 22.69 9.10% 9.10% PSU Banks CCIL - CBLO ECBO 6,199.90 (0.46) 2.57 5.04% 5.04% 6,199.90 (0.46) 2.57 5.04% 5.04% 1,469.85 299.90 3.02 6.24% 6.24% Deposits - Deposit with Scheduled Banks, FIs, CCIL, RBI ECDB 2,520.16 4,213.76 47.92 8.17% 8.17% 2,520.16 4,213.76 47.92 8.17% 8.17% 600.00 600.00 0.07 4.25% 4.25% Deposits - CDs with Scheduled Banks EDCD 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% PERIODIC DISCLOSURES FORM NL-36 YIELD ON INVESTMENTS 1

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED CODE: 103 STATEMENT AS ON 30.06.2018 PERIODICITY OF SUBMISSION : QUARTERLY (Rs. In Lacs ) STATEMENT OF INVESTMENT AND INCOME ON INVESTMENT Cat. For the quarter ended 30th June, 2018 Upto the Quarter ended 30th June, 2018 Previous Year 2017-18 No. Category of Investment Code Investment (Rs.) Income on Gross Investment (Rs.) Income on Gross Investment (Rs.) Income on Gross Net Yield² Net Yield² Net Yield² Book Investment Yield¹ Book Investment Yield¹ Investment Yield¹ Market Value (%) Market Value (%) Book Value1 Market Value (%) Value1 (Rs.)** (%) Value1 (Rs.) (%) (Rs.) (%) Mutual Funds - Gilt / G Sec / Liquid Schemes EGMF 17,263.11 2,735.20 327.71 7.61% 7.61% 17,263.11 2,735.20 327.71 7.61% 7.61% 40,362.31 35,660.48 654.72 6.51% 6.51% Mutual Funds - (under Insurer's Promoter Group) EMPG 3,537.16 0.00 23.05 7.67% 7.67% 3,537.16 0.00 23.05 7.67% 7.67% 2,028.36 - 23.96 6.74% 6.74% Passively Managed Equity Etfs (Promoter Group) EETP 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 80.12 23.99 22.01 110.16% 110.16% Additional Tier 1 (Basel III Compliant) Perpetual Bonds - [PSU EAPS 5,041.21 4,881.57 104.68 8.33% 8.33% 5,041.21 4,881.57 104.68 8.33% 8.33% 5,576.28 5,440.88 116.48 8.38% 8.38% Banks] Additional Tier 1 (Basel III Compliant) Perpetual Bonds - [Private EAPB 29,053.23 32,481.87 636.49 8.79% 8.79% 29,053.23 32,481.87 636.49 8.79% 8.79% 3,959.08 7,493.61 87.57 8.87% 8.87% Banks] Corporate Securities - Preference Shares EPNQ 0.00 16.24 0.00 0.00% 0.00% 0.00 16.24 0.00 0.00% 0.00% 0.00 16.00 0.00 0.00% 0.00% 6 OTHER THAN APPROVED INVESTMENTS

Bonds - PSU - Taxable OBPT 10,137.66 7,995.47 215.71 8.53% 8.53% 10,137.66 7,995.47 215.71 8.53% 8.53% 501.34 501.06 10.85 8.68% 8.68% Equity Shares (incl. Equity related Instruments) - Promoter Group OEPG 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% Debentures OLDB 500.00 484.41 10.28 8.25% 8.25% 500.00 484.41 10.28 8.25% 8.25% 9,028.73 9,270.85 201.17 8.94% 8.94% Debenture / Bond/ CPS / Loans etc. - (Promoter Group) ODPG 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% Mutual Funds - Debt / Income / Serial Plans / Liquid Schemes OMGS 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% Mutual Funds - (under Insurer's Promoter Group) OMPG 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% Equity Shares (incl Co-op Societies) OESH 1,413.19 994.45 52.71 14.96% 14.96% 1,413.19 994.45 52.71 14.96% 14.96% 1,456.10 1,514.02 52.21 14.38% 14.38% Securitised Assets OPSA 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% Equity Shares (PSUs & Unlisted) OEPU 1,705.51 942.40 0.00 0.00% 0.00% 1,705.51 942.40 0.00 0.00% 0.00% 379.71 447.27 7.77 8.21% 8.21% Alternate Investment Funds (Category I) OAFA 995.00 1,024.32 35.24 14.21% 12.78% 995.00 1,024.32 35.24 14.21% 12.78% 995.00 1,027.11 35.75 14.41% 12.97% Alternate Investment Funds (Category II) OAFB 1,721.88 1,721.12 60.90 14.19% 13.10% 1,721.88 1,721.12 60.90 14.19% 13.10% 1,673.03 1,671.38 45.70 10.96% 9.86% Additional Tier 1 (Basel III Compliant) Perpetual Bonds - [PSU OAPS 1,400.94 459.74 35.65 10.21% 10.21% 1,400.94 459.74 35.65 10.21% 10.21% 4,000.00 4,119.83 109.70 11.00% 11.00% Banks] Reclassified Approved Investments - Equity (Point 6 Under Note ORAE 0.00 0.00 0.00 0.00% 0.00% 0.00 0.00 0.00 0.00% 0.00% 98.81 100.30 0.00 0.00% 0.00% For Regulation 4 to 9) Total 834,125.57 803,698.65 16,132.02 7.76% 7.75% 834,125.57 803,698.65 16,132.02 7.76% 7.75% 701,683.67 698,241.76 14,763.52 8.44% 8.43%

Category of Investment (COI) shall be as per Guidelines 1 Based on daily simple Average of Investments 2 Yield netted for Tax 3 Form - 1 shall be prepared in respect of each fund. 4 Gross Yield/ Net Yield is computed on annualised basis. 5 Total of Investment Assets reflects simple average figure of overall portfolio 6 In the previous year column, the figures of the corresponding Year to date of the previous financial year are shown PERIODIC DISCLOSURES FORM NL-37 DOWN GRADING OF INVESTMENT-2

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED CODE: 103

STATEMENT AS ON 30/06/2018

PERIODICITY OF SUBMISSION : QUARTERLY (Rs. In Lacs ) STATEMENT OF DOWN GRADED INVESTMENTS DATE OF RATING ORIGINAL CURRENT DATE OF No. Name of the Security COI AMOUNT REMARKS PURCHASE AGENCY GRADE GRADE DOWNGRADE A. DURING THE QUARTER 1 :

8.64% IDFC BANK LTD DB 15-04-2020 CORPORATE SECURITIES - DEBENTURES 2,500 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18 8.67% IDFC BANK LTD DB 03-01-2025 CORPORATE SECURITIES - DEBENTURES 1,004 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18 8.75% IDFC BANK LTD DB 28-07-2023 CORPORATE SECURITIES - DEBENTURES 2,500 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18

B. AS ON DATE 2 :

8.64% IDFC BANK LTD DB 15-04-2020 CORPORATE SECURITIES - DEBENTURES 2,500 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18 8.67% IDFC BANK LTD DB 03-01-2025 CORPORATE SECURITIES - DEBENTURES 1,004 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18 8.75% IDFC BANK LTD DB 28-07-2023 CORPORATE SECURITIES - DEBENTURES 2,500 13-Oct-15 FITCH AAA IND AA+ IND 26-Jun-18 Security reclassified from 9.50% UBI BSOPT 15-09-2050 AT1 ADDITIONAL TIER 1 (BASEL III COMPLIANT) PERPETUAL BONDS - [PSU BANKS] 522 26-Dec-17 CARE CARE AA CARE AA- 10-Nov-17 Approved Investments to Other Investments Security reclassified from 8.25% SAIL DB 27-07-2018 BONDS - PSU - TAXABLE 2,498 27-May-16 FITCH AAA IND AA- IND 23-Aug-17 Approved Investments to Other Investments 8.25% SAIL DB 27-07-2018 BONDS - PSU - TAXABLE 2,498 27-May-16 CARE CARE AA+ CARE AA 20-Jan-17 8.72% SAIL DB 30-04-2020 BONDS - PSU - TAXABLE 505 22-Sep-16 CARE CARE AA+ CARE AA 20-Jan-17 Security reclassified from 8.72% SAIL DB 30-04-2020 BONDS - PSU - TAXABLE 505 22-Sep-16 FITCH AA IND AA- IND 23-Aug-17 Approved Investments to Other Investments Security downgraded from CRISIL AA+ to AA- on 31-Jul-2015. 9.55% HINDALCO DB 25-04-2022 CORPORATE SECURITIES - DEBENTURES 10,724 25-Apr-12 CRISIL AA+ AA 31-Jul-15 However, security has been upgraded from CRISIL AA- to AA on 23/08/2017 9.15% TATASTEEL DB 24-01-2019 I CORPORATE SECURITIES - DEBENTURES 2,498 06-May-16 BRICKWORKBWR AA+ BWR AA 19-Dec-16 9.15% TATASTEEL DB 24-01-2019 I CORPORATE SECURITIES - DEBENTURES 2,498 06-May-16 CARE CARE AA+ CARE AA 14-Feb-17 9.15% TATASTEEL DB 24-01-2021 II CORPORATE SECURITIES - DEBENTURES 512 05-Oct-16 BRICKWORKBWR AA+ BWR AA 19-Dec-16 9.15% TATASTEEL DB 24-01-2021 II CORPORATE SECURITIES - DEBENTURES 512 05-Oct-16 CARE CARE AA+ CARE AA 14-Feb-17 2.00% TATASTEEL DB 23-04-2022 CORPORATE SECURITIES - DEBENTURES 12,712 02-Jun-16 BRICKWORKBWR AA+ BWR AA 17-Jan-17 2.00% TATASTEEL DB 23-04-2022 CORPORATE SECURITIES - DEBENTURES 12,712 02-Jun-16 CARE CARE AA+ CARE AA 14-Feb-17 10.10% RELIANCE CAPITAL DB 22-04-2024 CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER 2,633 GROUP)17-Mar-16 CARE CARE AAA CARE AA+ 31-Mar-17 10.20% RELIANCE CAPITAL DB 08-08-2022 CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER 1,019 GROUP)23-Feb-15 CARE CARE AAA CARE AA+ 31-Mar-17 10.20% RELIANCE CAPITAL DB 17-08-2022 CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER 1,528 GROUP)23-Feb-15 CARE CARE AAA CARE AA+ 31-Mar-17 10.30% RELIANCE CAPITAL DB 20-12-2018 CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER 2,497 GROUP)17-Sep-14 CARE CARE AAA CARE AA+ 31-Mar-17 8.28% RELIANCE CAPITAL DB 18-11-2019 CORPORATE SECURITIES - DEBENTURES / BONDS/ CPS /LOAN - (PROMOTER 2,000 GROUP)24-Oct-16 CARE CARE AAA CARE AA+ 31-Mar-17 Security reclassified from 8.18% SAIL DB 10-08-2018 BONDS - PSU - TAXABLE 5,000 14-Jun-17 FITCH AA IND AA- IND 23-Aug-17 Approved Investments to Other Investments

Note : 1 Provide details of Down Graded Investments during the Quarter 2 Investments currently upgraded, listed as Down Graded during earlier Quarter shall be deleted from the Cumulative listing 3 FORM-2 shall be presented in respect of each fund 4 Category of Investment (COI) shall be as per INV/GLN/001/2003-04 PERIODIC DISCLOSURES FORM NL-38 Business Returns across line of Business

Insurer: Reliance General Insurance Company Limited Date: 30-06-2018 (Rs. In Lacs )

Business Returns across line of Business

For the Quarter Ended June For the Quarter Ended June 30, Upto the Quarter Ended June 30, Upto the Quarter Ended June 30, 2018 2017 2018 30, 2017 Premium No. of Policies S.No. Line of Business Premium No. of Policies Premium No. of Policies Premium No. of Policies 1 Fire 16,410 20,535 13,715 38,256 16,410 20,535 13,715 38,256 2 Marine Cargo 3,318 1,935 3,151 1,208 3,318 1,935 3,151 1,208 3 Marine Hull 255 13 331 4 255 13 331 4 4 Motor TP* 37,249 1,010,993 30,690 958,228 37,249 1,010,993 30,690 958,228 5 Motor OD 31,849 852,342 29,220 873,493 31,849 852,342 29,220 873,493 6 Engineering 2,223 2,762 1,849 1,919 2,223 2,762 1,849 1,919 7 Employer's Liability 323 2,217 270 1,706 323 2,217 270 1,706 8 Product Liab 4 1 7 2 4 1 7 2 9 Public Liab 41 335 36 293 41 335 36 293 10 Other Liab 818 3,314 2,506 2,902 818 3,314 2,506 2,902 11 Aviation 289 17 202 13 289 17 202 13 12 Personal Accident 1,786 25,460 1,052 23,385 1,786 25,460 1,052 23,385 13 Health 46,151 82,214 31,723 72,331 46,151 82,214 31,723 72,331 14 All Other Misc 15,343 254,660 12,124 36,768 15,343 254,660 12,124 36,768 TOTAL 156,059 1,404,456 126,875 1,137,015 156,059 1,404,456 126,875 1,137,015

1) * Count is inclusive of Motor OD count as it includes composite policy. PERIODIC DISCLOSURES FORM NL-39 Rural & Social Obligations (Quarterly Returns)

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs. In Lacs ) Rural & Social Obligations

Statement for the Quarter ended June 30, 2018

No. of Premium Particular Policies Sum Assured Collected S.No. Line of Business Issued Fire Rural - - - 1 Social - - - Marine Cargo & Hull Rural - - - 2 Social - - - Motor TP* Rural 55,006 2,378.64 96,837.68 3 Social - - Motor OD Rural 44,394 1,104.45 4 Social - - - Engineering Rural 208 49.28 49,886.06 5 Social - - - Workmen's Compensation/Employer's Liability Rural 151 17.67 25,453.15 6 Social - - - Public Liability Rural 8 0.45 1,647.00 7 Social - - - Other Liability Cover Rural 48 1.08 697.00 8 Social - - - Aviation Rural - - - 9 Social - - - Personal Accident Rural 861 12.08 22,717.66 10 Social - - - Health Rural 262 187.22 12,383.64 11 Social - - - All Other Miscellaneous Rural 236,371 14,204.11 377,784.85 12 Social 235,854 14,210.65 311,166.64 1) * Count is inclusive of Motor OD count as it includes composite policy. PERIODIC DISCLOSURES FORM NL-40 Business Acquisition through different channels

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018 (Rs. In Lacs ) Business Acquisition through different channels

For the Quarter Ended June 30, For the Quarter Ended June Upto the Quarter Ended Upto the Quarter Ended June 30, 2018 30, 2017 June 30, 2018 2017

No. of No. of No. of Policies Premium Premium Premium No. of Policies Premium Policies Policies S.No. Channels 1 Individual agents 504,188 33,767 576,808 33,504 504,188 33,767 576,808 33,504 2 Corporate Agents-Banks 248,491 3,648 60,514 2,357 248,491 3,648 60,514 2,357 3 Corporate Agents -Others 19,358 9,867 13,927 6,074 19,358 9,867 13,927 6,074 4 Brokers 279,802 50,447 211,827 34,836 279,802 50,447 211,827 34,836 5 Micro Agents ------6 Direct Business 199,425 51,887 261,326 49,555 199,425 51,887 261,326 49,555 7 Other :- -IMF 301 20 - - 301 20 - - -MISP 102,843 3,497 - - 102,843 3,497 - - -Web Aggregator 17,838 788 12,613 548 17,838 788 12,613 548 -Others 32,210 2,137 - - 32,210 2,137 - - TOTAL (A) 1,404,456 156,059 1,137,015 126,875 1,404,456 156,059 1,137,015 126,875 1 Referral (B) ------GRAND TOTAL ( A+B) 1,404,456 156,059 1,137,015 126,875 1,404,456 156,059 1,137,015 126,875

Notes: 1. Premium means amount of premium received from business acquired by the source 2. No. of Policies stand for number of policies sold PERIODIC DISCLOSURES FORM NL-41 : GRIEVANCE DISPOSAL

INSURER: RELIANCE GENERAL INSURANCE COMPANY LIMITED Date: 30-06-2018

GRIEVANCE DISPOSAL FOR THE PERIOD ENDED JUNE 30, 2018 Complaints Resolved/Settled Complaints Total Complaints Opening Balance Additions during the quarter Pending at the registered upto the S.No. Particulars As on beginning during the Fully Partial end of the quarter during the of the quarter quarter Rejected Accepted Accepted quarter financial year 1 Complaints made by the customers a) Proposal Related 0 0 0 0 b) Claim 1 81 13 3 66 0 81 c) Policy Related 0 9 7 0 2 0 9 d) Premium 0 4 4 0 0 0 4 e) Refund 0 1 1 0 0 0 1 f) Coverage 0 1 0 0 1 0 1 g) Covernote Related 0 0 0 0 0 0 0 h) Product 0 2 2 0 0 0 2 i) Others 0 21 14 0 6 1 21 Total No of Complaints: 1 119 41 3 75 1 119

2 Total No. of policies during previous year: 4,724,061 Total No. of claims intimated during previous 1,438,141 3 year: 4 Total No. of policies during current period: 1,404,456 Total No. of claims intimated during current 465,706 5 period: Total No. of Policy Complaints (current period) 0.06 6 per 10,000 policies (current period): Total No. of Claim Complaints (current period) 1.74 per 10,000 claims registered (current period): 7

Duration wise Pending Status Complaints made Complaints by Customers made by TOTAL 8 intermediaries a) Upto 7 days 1 0 1 b) 7-15 days 0 0 0 c) 15-30 days 0 0 0 d) 30-90 days 0 0 0 e) 90 days & beyond 0 0 0 TOTAL NO. OF COMPLAINTS 1 0 1