Select year
(Rs.in Million)
Particulars
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
No of Months
120
120
120
1.2
1.2
Policy Holders Technical Account
General Profit & Loss Account
Balance B/F from policy holders technical A/c
Life
496050.00
402150.00
355800.00
122018.70
29561.10
Income From Investments
60250.00
37250.00
11820.00
2069.20
280.70
Interest Dividend & Rent
56830.00
35950.00
11030.00
1665.60
228.40
Profit on Sale & redemption of investments
3510.00
1360.00
840.00
417.60
61.40
Loss on Sale & redemption of investments
-90.00
-60.00
-40.00
-14.00
-9.10
Gains on change in Fair Values
Other Income (to be Specify)
1730.00
1520.00
1310.00
1106.30
252.80
Sundry receipts
1730.00
1520.00
1310.00
1106.30
252.80
Expenses Related to investments
Amortisation of premium on Investments
Dimulation in the Value of Investments Written off
Other Expenses related to Investments
loss on sale of Investment
Provisions for doubtfull debt
10.00
Other Expenses
7430.00
3350.00
540.00
273.80
220.00
Sundry Balances Written off
Loss on Assets
7430.00
3350.00
540.00
273.80
220.00
Provisions for Diminution in value of Investments
-150.00
20.00
80.00
Other provisions
67220.00
26990.00
7510.00
83274.60
47.60
Provisions for Solvancy Margin
Others
67220.00
26990.00
7510.00
83274.60
47.60
Profit Before Taxation
483510.00
410570.00
360810.00
41645.80
29827.10
Provisions For taxation
300.00
1410.00
840.00
398.70
85.70
Current Tax
300.00
1410.00
840.00
398.70
85.70
Profit After Taxation
483200.00
409160.00
359970.00
41247.10
29741.40
Balance B/F from Balance Sheet
757090.00
392180.00
41750.00
1128.50
632.60
Appropriations
1240280.00
801570.00
401670.00
42375.60
30374.00
Proposed Final Dividend
37950.00
18980.00
9490.00
276.40
125.60
Transfere to General Reserves
160.00
280.00
10.00
333.30
29113.20
Balance C/F To Balance Sheet
1202170.00
757020.00
392180.00
41751.40
1128.50