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SOURCE OF INFORMATION : INSURANCE REGULATORY & DEVELOPMENT AUTHORITY OF INDIA WEBSITE
PERIOD COVERED : 16-AUG-2002 TO 13-JUL-2024

NAMES IN BROWN COLOUR
Names of entities/persons in brown colour denote that the regulatory order is not against them but their names have been mentioned only for association purposes.

ALL INSURANCE BROKER

S.No. ENTITY  PERSONS  REGULATORY CHARGES REGULATORY ACTION(S) / DATE OF ORDER FURTHER DEVELOPMENTS
81
History of entity/person QUASAR INSURANCE BROKERS PVT.LTD.  
  DISCREPANCIES IN APPLICATION FILED FOR RENEWAL OF LICENCE AS DIRECT INSURANCE BROKER   REJECTED APPLICATION FILED FOR RENEWAL OF LICENSE AS INSURANCE BROKER

16-APR-2013
 
82
History of entity/person RDB INSURANCE BROKING SERVICES PVT.LTD.  
  PAID APART/OVER AND ABOVE PERMISSIBLE AGENCY COMMISSION/REMUNERATION TO CORPOARTE AGENTS   IMPOSED PENALTY RS.25,000

11-DEC-2013
 
83
History of entity/person REGAL INSURANCE BROKERS & RISK MANAGEMENT SERVICES PVT.LTD.  
  ENTERED INTO AGREEMENT WITH VISHDEVA LEASING & INVESTMENTS PVT.LTD. TO PROVIDE CERTAIN SERVICES TO ITS CLIENTS ON ITS BEHALF VIOLATING CLAUSE 3(B) OF SCHEDULE VIA OF REGULATION 28 OF IRDA (BROKERS) REGULATIONS, 2013   CENSURED/WARNED & DIRECTED/ADVISED TO BE DILIGENT IN COMPLYING WITH ALL THE ACTS, REGULATIONS ETC.

07-AUG-2017
 
84
History of entity/person RELIABLE INSURANCE BROKERS PVT.LTD.  
  PROCURED BUSINESS THROUGH OUTSIDE INDIVIDUAL/ENTITIES AND REFERRED AS “BUSINESS PROCURING AGENTS”

ADVANCED PREMIUM ON BEHALF OF POLICYHOLDERS

DID NOT ADHERE TO INTERNAL CONTROLS AND SYSTEMS

ARRANGED FOR REINSURANCE PLACEMENT OF AIRCRAFT WITHOUT ANY LICENCE TO DO SO  
REJECTED APPLICATION FILED FOR RENEWAL OF LICENSE AS INSURANCE BROKER

22-DEC-2010
 
85
History of entity/person RELIANCE LIFE INSURANCE CO.LTD.  
  INVESTMENT MADE IN EXCESS OF 3% OF FUND SIZE IN FIXED DEPOSITS WERE CATEGORIZED AS APPROVED INVESTMENTS INSTEAD OF OTHER INVESTMENTS

INVESTMENT POLICY EXCLUDED "CAPITAL SECURED FUND” AND “MONEY MARKET FUND” FROM EXPOSURE LIMIT OF 25% OF FUND IN BANKING & FINANCIAL SECTOR

INVESTMENT POLICY ALLOWED HIGHER LIMIT OF 15% OF INDIVIDUAL FUND SIZE FOR EQUITY AS WELL AS DEBT EXPOSURE CONTRARY TO LIMITS PRESCRIBED UNDER IRDA INVESTMENTS REGULATIONS, 2000

DID NOT MAKE PROVISION FOR LIABILITY (I.E.CONSIDERATION FOR USE OF BRANDS)

DID NOT MAKE PROPER DISCLOSURE OF PREMIUM RECEIVED IN ADVANCE

DID NOT SUBMIT CONFIRMATION TOWARDS OUTSTANDING LOANS

DID NOT MAKE DISCLOSURE RELATED TO FULL SURRENDER FEE

DID NOT MAKE DISCLOSURE OF RELATED PARTY TRANSACTIONS

DID NOT MAKE PROVISIONS FOR PREMIUM WAIVER BENEFITS

DID NOT MAKE NOTES OR CLAIMS REPORTING PATTERN FOR IBNR (INCURRED BUT NOT REPORTED)

PAID EXCESS REFERRAL FEES THAN ENVISAGED IN REFERRAL DIRECTIVES/INSTRUCTIONS/GUIDELINES

DEFAULT IN MAKING DISCLOSURE OF OCCUPATIONS

DEATH CLAIMS SETTLED IN FAVOUR OF MASTER POLICY HOLDERS AS AGAINST TO BENEFICIARIES/INSURED

DELAY IN PROCESSING OF REQUESTS FOR PARTIAL WITHDRAWALS UNDER ULIPS

REIMBURSED GROUP MASTER POLICY HOLDER TOWARDS MARKETING & ADVERTISING EXPENSES

PAID SIGNIFICANT AMOUNT TO VARIOUS ENTITIES TOWARDS MARKETING ACTIVITIES

PERMITTED VARIOUS UNLICENSED INDIVIDUALS AND CORPORATES TO SOLICIT AND PROCURE BUSINESS

BUSINESS SOURCED THROUGH UNLICENSED ENTITIES BUT BOOKED UNDER BROKER CODE

SOURCED BUSINESS THROUGH MULTI LEVEL MARKETING THROUGH PERSONS WHO DID NOT POSSESS ANY CERTIFICATE/LICENSE

SIGNATURE OF IRDA LICENSED ADVISOR SPECIFIED PERSON EITHER FORGED OR NOT AVAILABLE VIOLATING IRDA CIRCULAR NO.IRDA/CIR/010/2013 DATED 27/03/2013  
IMPOSED PENALTY RS.1,77,00,000

11-APR-2014
 
86
History of entity/person RELIANCE NIPPON LIFE INSURANCE CO.LTD.  
  DID NOT FURNISH CERTIFICATE FROM APPOINTED ACTUARY NOR DEMONSTRATED THAT THE INTEREST OF POLICYHOLDERS WAS NOT AFFECTED DUE TO EXCESS OF EXPENSES OVER PRESCRIBED LIMITS VIOLATING SECTION 64K(2) OF THE INSURANCE ACT,1938   CENSURED/WARNED & DIRECTED/ADVISED TO BE DILIGENT IN COMPLYING WITH ALL THE ACTS, REGULATIONS ETC.

16-JUL-2019
 
87
History of entity/person RELIGARE INSURANCE BROKING LTD.  
  SURRENDERED COMPOSITE BROKER BROKING LICENSE   CANCELLED CERTIFICATE OF REGISTRATION AS INSURANCE BROKER

30-JUL-2012
 
88
History of entity/person RPMG RISK MANAGEMENT SERVICES PVT.LTD.  
  SURRENDERED DIRECT INSURANCE BROKING LICENSE   CANCELLED CERTIFICATE OF REGISTRATION AS INSURANCE BROKER

15-DEC-2009
 
89
History of entity/person S.B.INSURANCE BROKERS PVT.LTD.  
  DID NOT SHARE DOCUMENTS WITH INSPECTION TEAM VIOLATING CLAUSE 1(F) OF REGULATION 41 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

DID NOT SUBMIT DOCUMENTS WITH INSPECTION TEAM VIOLATING CLAUSE 1(I) OF REGULATION 41 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

MADE SPURIOUS CALLS VIOLATING CLAUSE 1 OF SCHEDULE VIA READ WITH REGULATION 28 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

ENGAGED INTO CALLS WITHOUT DISCLOSING IDENTITY VIOLATING CLAUSES 2(C) AND 2(J) OF SCHEDULE VIA READ WITH REGULATION 28 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013  
CANCELLED CERTIFICATE OF REGISTRATION AS INSURANCE BROKER

18-JUN-2019
 
90
History of entity/person SAFERISK INSURANCE BROKERS PVT.LTD.  
  INVOLVED UNLICENSED ENTITIES/PERSONS IN SOLICITATION OF BUSINESS   IMPOSED PENALTY RS.3,00,000

CENSURED/WARNED & DIRECTED/ADVISED TO BE DILIGENT IN COMPLYING WITH ALL THE ACTS, REGULATIONS ETC.

31-AUG-2021
 
91
History of entity/person SAFEWAY INSURANCE BROKERS PVT.LTD.  
  DID NOT FURNISH REQUIRED INFORMATION/DOCUMENTS TO IRDA

DELAY IN SUBMISSION OF QUARTERLY AND HALF YEARLY RETURNS

DID NOT HAVE PROPER LEASE AGREEMENT FOR ITS FUNCTIONING VIOLATING CLAUSE 2(II) OF REGULATION 8 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

UTILIZED SERVICES OF EMPLOYEES FOR SOLICITATION FROM ITS OFFICES AND BRANCHES, WHO HAVE NOT COMPLETED THEIR RENEWAL TRAINING VIOLATING CLAUSE 2(III) AND 2(XIV) OF REGULATION 8 READ WITH PROVISIONS OF SCHEDULE II UNDER REGULATION 8 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

DID NOT UTILIZE SERVICES OF AGENTS AND CANVASSERS VIOLATING CLAUSE 3(B) OF SCHEDULE VI-A UNDER REGULATION 28 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

PROFESSIONAL INDEMNITY POLICY WAS NOT IN LINE WITH THE REGULATORY REQUIREMENTS VIOLATING CLAUSE 2(A) OF SCHEDULE III READ WITH REGULATION 13 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013

DID NOT SUBMIT CERTIFICATE FROM STATUTORY AUDITORS VIOLATING CLAUSE 6 OF REGULATION 29 OF IRDA (INSURANCE BROKERS) REGULATIONS, 2013  
IMPOSED PENALTY RS.11,00,000

CENSURED/WARNED & DIRECTED/ADVISED TO BE DILIGENT IN COMPLYING WITH ALL THE ACTS, REGULATIONS ETC.

04-OCT-2021
 
92
History of entity/person SAGE INSURANCE BROKERS PVT.LTD.  
History of entity/person PREETI N.AGGARWALA
 
SUPPRESSED MATERIAL INFORMATION REGARDING PROMOTERS IN APPLICATION FILED FOR GRANT OF INSURANCE LICENSE

SUBMITTED FALSE DECLARATION IN APPLICATION FILED FOR GRANT OF INSURANCE LICENSE

SUBMITTED FALSE AFFIDAVIT REGARDING DISQUALIFICATION OF DIRECTOR  
CANCELLED CERTIFICATE OF REGISTRATION AS INSURANCE BROKER

23-FEB-2006
 
93
History of entity/person SAHARA INDIA LIFE INSURANCE CO.LTD.  
  DID NOT ADHERE TO OBLIGATIONS TOWARDS SOCIAL SECTORS IN 2012-13 AND 2014-15   IMPOSED PENALTY RS.5,00,000

23-JUL-2014
IRDA VIDE ITS PUBLIC NOTICE DATED 23/06/2017 DIRECTED SAHARA TO NOT TO PROCURE / COLLECT PROPOSAL DEPOSITS / UNDERWRITE NEW BUSINESS WITH IMMEDIATE EFFECT, I.E., CLOSE OF BUSINESS ON 23/06/2017. DIRECTED SAHARA INDIA LIFE INSURANCE CO.LTD. TO INFORM ALL CONCERNED AGENTS / INTERMEDIARIES OF THE ABOVE DIRECTION AND ENSURE THAT THEY DO NOT PROCURE / COLLECT PROPOSAL DEPOSITS TOWARDS NEW INSURANCE BUSINESS IMMEDIATELY ON RECEIPT OF THIS ORDER. FURTHER, DIRECTED TO CONTINUE TO COLLECT AND ACCOUNT FOR THE RENEWAL PREMIUM AND SERVICE THE EXISTING BUSINESS AND POLICYHOLDERS, UNHINDERED

IRDA VIDE ITS NOTICE DATED 12/06/2017 APPOINTED MR.R.K.SHARMA, GM (F&A-NL), IRDAI AS ADMINISTRATOR FOR MANAGING THE AFFAIRS OF SAHARA INDIA LIFE INSURANCE CO.LTD., WITH IMMEDIATE EFFECT  
94
History of entity/person SAHARA INDIA LIFE INSURANCE CO.LTD.  
  DID NOT ADHERE TO OBLIGATIONS TOWARDS SOCIAL SECTORS IN 2013-14   IMPOSED PENALTY RS.25,00,000

03-NOV-2014
IRDA VIDE ITS PUBLIC NOTICE DATED 23/06/2017 DIRECTED SAHARA TO NOT TO PROCURE / COLLECT PROPOSAL DEPOSITS / UNDERWRITE NEW BUSINESS WITH IMMEDIATE EFFECT, I.E., CLOSE OF BUSINESS ON 23/06/2017. DIRECTED SAHARA INDIA LIFE INSURANCE CO.LTD. TO INFORM ALL CONCERNED AGENTS / INTERMEDIARIES OF THE ABOVE DIRECTION AND ENSURE THAT THEY DO NOT PROCURE / COLLECT PROPOSAL DEPOSITS TOWARDS NEW INSURANCE BUSINESS IMMEDIATELY ON RECEIPT OF THIS ORDER. FURTHER, DIRECTED TO CONTINUE TO COLLECT AND ACCOUNT FOR THE RENEWAL PREMIUM AND SERVICE THE EXISTING BUSINESS AND POLICYHOLDERS, UNHINDERED

IRDA VIDE ITS NOTICE DATED 12/06/2017 APPOINTED MR.R.K.SHARMA, GM (F&A-NL), IRDAI AS ADMINISTRATOR FOR MANAGING THE AFFAIRS OF SAHARA INDIA LIFE INSURANCE CO.LTD., WITH IMMEDIATE EFFECT  
95
History of entity/person SAHARA INDIA LIFE INSURANCE CO.LTD.  
  TRANSFERRED FUNDS TO GROUP ENTITY SAHARA INDIA IN THE NAME OF SECURITY DEPOSIT

DID NOT RESPOND TO IRDAI QUERIES RAISED ON ITS FINANCIAL STATEMENTS

DID NOT VEST SUFFICIENT POWERS WITH WHOLE TIME DIRECTOR (WTD) AND CEO COMMENSURATE WITH THEIR ROLES AND RESPONSIBILITIES

OPERATED WITHOUT BOARD APPROVED BUSINESS PLAN

DID NOT PROVIDE RECONCILIATION OF BANK ACCOUNTS

LONG PENDING PROPOSAL DEPOSITS FOR REFUND

DID NOT HAVE INTERNAL CONTROLS IN PLACE  
DIRECTED TO TAKE IMMEDIATE STEPS TO RECOVER ADVANCE OF RS.78.15 CRORE FROM SAHARA INDIA

DIRECTED TO TRANSFER SHAREHOLDING TO OTHER FIT AND PROPER PROMOTERS

DIRECTED TO SUBMIT PROPER BOARD APPROVED BUSINESS PLAN TO IRDAI

DIRECTED TO RECONCILE ALL REMAINING UNRECONCILED BANK ACCOUNTS WITHIN TWO MONTHS

DIRECTED TO STRENGTHEN INTERNAL CONTROL SYSTEMS AND CONDUCT BUSINESS IN ACCORDANCE WITH CORPORATE GOVERNANCE

30-DEC-2020
 
96
History of entity/person SALASAR SERVICES INSURANCE BROKERS PVT.LTD.  
  GAVE WRONG AND MISLEADING ADVICE TO LODGE CLAIMS VIOLATING CLAUSE 2 OF CODE OF CONDUCT IN SCHEDULE 1 – FORM H OF IRDA (INSURANCE BROKERS) REGULATIONS, 2018

GAVE WRONG AND MISLEADING ADVICE TO CLIENTS/POLICY HOLDERS VIOLATING CLAUSE 1 OF CODE OF CONDUCT IN SCHEDULE 1 – FORM H OF IRDA (INSURANCE BROKERS) REGULATIONS, 2018

MADE MISLEADING AND EXTRAVAGANT STATEMENTS VIOLATING CLAUSE 10 OF CODE OF CONDUCT IN SCHEDULE 1 – FORM H OF IRDA (INSURANCE BROKERS) REGULATIONS, 2018  
IMPOSED PENALTY RS.8,00,000

16-JUN-2021
 
97
History of entity/person SAMRIDDHI INSURANCE ADVISORY SERVICES & BROKING PVT.LTD.  
  DISCREPANCIES IN APPLICATION FILED FOR RENEWAL OF LICENCE AS DIRECT INSURANCE BROKER   REJECTED APPLICATION FILED FOR RENEWAL OF LICENSE AS INSURANCE BROKER

16-APR-2013
 
98
History of entity/person SAPTHAGIRI INSURANCE AGENCY SERVICES PVT.LTD.  
  SURRENDERED DIRECT INSURANCE BROKING LICENSE   CANCELLED CERTIFICATE OF REGISTRATION AS INSURANCE BROKER

11-DEC-2006
 
99
History of entity/person SBI LIFE INSURANCE CO.LTD.  
  VIOLATED DIRECTIVES/INSTRUCTIONS/GUIDELINES OF IRDA ON ADVERTISEMENTS   CENSURED/WARNED & DIRECTED/ADVISED TO BE DILIGENT IN COMPLYING WITH ALL THE ACTS, REGULATIONS ETC.

17-DEC-2013
 
100
History of entity/person SHRIRAM GENERAL INSURANCE CO.LTD.  
  DID NOT TAKE PRIOR APPROVAL FROM IRDA FOR CHANGE IN SHAREHOLDING PATTERN   IMPOSED PENALTY RS.5,00,000

11-JUL-2014
 
The regulatory charges/regulatory actions may be fully or partly applicable to the entities/persons mentioned in the second column.
 
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