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companylogoHDFC Life Insurance Company Ltd

You are Here : Home > Markets > Company Information > Quarterly Results
BSE Code : 540777 | NSE Symbol : HDFCLIFE | ISIN : INE795G01014 | Industry : Insurance |

Quarterly Results
Particulars (₹ Cr)Sep 2024Jun 2024Mar 2024Dec 2023
OPERATING RESULTS :     
Gross premiums Written: 16927.4512810.8820937.5615525.86
(a) First Year Premium 3,253.452,357.904,014.622,679.21
(b) Renewal Premium 8,831.026,410.6311,405.968,396.16
(c) Single Premium 4,842.984,042.355,516.984,450.49
(d) Other Gross Premiums 0.000.000.000.00
Net premium written 0.000.000.000.00
Premium Earned(Net) 16,569.7012,509.6220,488.1115,235.33
Income from investments (Net) (Insurance) 11,610.7714,124.417,251.4111,369.81
Other income (Insurance) 68.8766.7278.3570.35
Foreign Exchange Gain/(Loss) 0.000.000.000.00
Investment income from Pool (Terrorism / Nuclear) 0.000.000.000.00
Miscellaneous Income 68.8766.7278.3570.35
Transfer of fund from Shareholders' A/c 191.236.4074.7219.28
Total Income 28,440.5726,707.1527,892.5926,694.77
Commission & Brokerage (net) :     
(a) First Year Commission 1,264.56839.781,348.46674.68
(b) Renewal Commission 138.44106.85189.63127.52
(c) Single Commission 448.15523.63623.96443.47
(d) Other Commission 0.000.000.000.00
Net Commission 1,851.151,470.262,162.051,245.67
Operating Expenses related to insurance business (ab) 1,681.361,267.231,760.481,774.05
(a) Employees remuneration and welfare expenses 811.75694.46726.55790.10
(c) Advertisements 340.50160.78525.95509.66
(d) Business development expenses 0.000.000.000.00
(e) Other operating expenses· 529.11411.99507.98474.29
Premium Deficiency 0.000.000.000.00
Incurred Claims: - 24,752.1123,393.4623,576.4723,549.78
(a) Claims Paid / Benefit Paid 10,298.628,827.7812,420.529,866.08
(b) Change in Outstanding Claims (Incl. IBNR/IBNER) 0.000.000.000.00
(c) Changes in Actuarial Liabilities 14,453.4914,565.6811,155.9513,683.70
Total Expense 28,284.6226,130.9527,499.0026,569.50
Underwriting Profit/Loss -11,714.92-13,621.33-7,010.89-11,334.17
Provisions for doubtful debts (Including bad debts written off) 0.000.000.000.00
Provisions for diminution In value of investments -2.753.393.17-37.48
Provisions for goods and service tax / service tax charge on linked charges 118.98108.47117.89103.88
Provision for tax -470.66-98.39-0.29-2.41
Total Expenses Including Provisions 27,930.1926,144.4227,619.7726,633.49
Operating Profit/Loss: 510.38562.73272.8261.28
Appropriations 510.38562.73272.8261.28
(a) Transfer to Profit and Loss A/c 0.000.000.000.00
(b) Transfer to Reserves / Shareholders' A/c 385.41266.46302.74129.29
(c) Fund for Future Appropriations 124.97296.27-29.92-68.01
Detail of Surplus / Deficit :     
(a) Interim Bonus Paid 607.02407.13616.41493.36
(b) Terminal Bonus Paid 169.90160.02345.67273.38
(c) Allocation of bonus to Policyholders 0.000.00923.720.00
(d) Surplus Shown in the Revenue A/c 510.38562.73272.8261.28
Total Surplus / Deficit 1,287.301,129.882,158.62828.02
NON OPERATING RESULTS     
Income in Shareholders' account (abc) 654.23523.64558.43410.34
(a) Transfer from Policyholders' Fund  385.41266.46302.74129.29
(b) Net Reinsurance Premium 0.000.000.000.00
(c)Total Income Under Shareholders' account (bc) 268.82257.18255.69281.05
Income from investments  268.77257.16252.58281.05
Other income 0.050.023.110.00
Expenses :     
Reinsurance Claims Incurred 0.000.000.000.00
Expenses relating to reinsurance business & Change in reinsurare contract liabililles (net of reinsurance assets) 0.000.000.000.00
Expenses other than those related to insurance business 25.4419.7533.4327.32
Transfer of fund to Policyholders' A/c 191.236.4074.7219.28
Provisions for doudtful debts (including bad debts written off) 0.000.000.000.00
Provisions for diminution in value of Investments / Amortisation of premium on investments 0.000.000.57-3.09
Total Expenses 216.6726.15108.7243.51
Profit/Loss before Extraordinary items 437.56497.49449.71366.83
Extraordinary Items before tax 0.000.000.000.00
Profit/(loss) before tax 437.56497.49449.71366.83
Provisions for tax 4.5719.8438.051.77
Profit/(loss) after tax 432.99477.65411.66365.06
Extraordinary Items 0.000.000.000.00
Net Profit 432.99477.65411.66365.06
Dividend per share (Rs) 0.000.002.000.00
(a) Interim Dividend 0.000.000.000.00
(b) Final Dividend 0.000.002.000.00
Opening Balance and Appropriations from PAT (Net) 0.000.000.000.00
Profit/ (Loss) carried to Balance Sheet 8,739.028,736.238,258.587,846.92
Paid up equity share capital 2,152.222,150.982,150.942,150.66
Reserve & Surplus (excluding Revaluation Reserve) 12,595.8312,529.7212,050.3011,624.51
Fair Value Change Account and Revaluation Reserve 833.71652.97450.50384.79
Face Value 10.0010.0010.0010.00
Total Assets:     
(a) Investments: 3,24,941.923,10,244.042,92,220.082,79,706.58
- Shareholders' Fund 15,866.0615,526.3014,881.8814,535.89
- Policyholders' Fund 1,99,873.781,91,388.631,81,796.571,71,324.89
- Assets held to cover linked liabilities 1,09,202.081,03,329.1195,541.6393,845.80
(b) Other Assets (Net of current liabilities and provisions) 2,781.55942.551,509.241,062.56
Nominal Value Per Share 0.000.000.000.00
Analytical Ratios:     
Solvency Ratio 181.00186.00187.00190.00
Expenses of Management Ratio 20.9021.4018.7019.40
Policyholder's Liabilities to Shareholder's fund 1,996.701,923.201,898.301,875.20
Incurred Claim Ratio 0.000.000.000.00
Net retention ratio 0.000.000.000.00
Combined ratio: 0.000.000.000.00
Adjusted Combined Ratio 0.000.000.000.00
Earnings per share (in Rs):     
(a) Basic EPS 2.012.221.911.70
(b) Diluted EPS 2.012.221.911.70
NPA ratios:     
a) Gross NPAs 66.2766.2766.2766.27
b) Net NPAs 0.000.000.000.00
(%) Gross Non Performing Assets 0.100.100.100.07
(%) Net Non Performing Assets 0.000.000.000.00

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