SCOS : Financial reports

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ADPCaption2015-12
uncons.
2014-12
uncons. a.
2014-12
uncons.
 ASSETS    
1A. RECEIVABLE FOR SUBSCRIBED NOT PAID CAPITAL (002+003) 00
21. Capital invited to be paid 00
32. Capital that is not invited to be paid 00
4B. INTANGIBLE ASSETS (005+006) 00
51. Goodwill 00
62. Other intangible assets 00
7C. TANGIBLE ASSETS (008 to 010) 103231
81. Land and buildings used for insurance activities 5152
92. Equipment 53180
103. Other tangible assets and reserves 00
11D. INVESTMENTS (012+013+017+036) 25,58835,990
12I. Investments in land and buildings not intended for businsess activities of the company 11,33113,535
13II. Investments in branches, assoc. companies and participating in joint investments (014 to 016) 00
141. Shares and stakes in branch-offices 00
152. Shares and stakes in associate companies 00
163. Participating in joint investments 00
17III. Other financial investments (018 + 021 + 026 + 032) 14,25722,456
181. Investments kept till maturity date (019 + 020) 00
191.1. Debt securities and other securities with fixed income 00
201.2. Other investmentskept till maturity date 00
212. Investments available for sale (022 to 025) 10,34416,242
222.1. Stocks, shares and other securities with variable income 9,26812,231
232.2. Debt securities and other securities with fixed income 4643,080
242.3. Stakes in investment funds 214805
252.4. Other invetments avaliable for sale 399127
263. Investments at fair value through the profit and loss account (027 to 031) 00
273.1. Stocks, shares and other securities with variable income 00
283.2. Debt securities and other securities with fixed income 00
293.3. Derivative financial instruments 00
303.4. Stakes in investment funds 00
313.5. Other investments 00
324. Deposits, loans and receivables (033 to 035) 3,9136,213
334.1. Bank deposits 3622,528
344.2. Loans 3,5503,685
354.3. Other lonas and receivables 00
36IV. Deposits at insurance activities ceded to reinsurance (deposits with cedent) 00
37E. INVESTMENTS FOR THE ACCOUNT AND OWN RISK OF LIFE INSURANCE POLICYHOLDER 00
38F. REINSURANCEPORTION IN TECHNICAL RESERVES (039 to 045) 0303
391. Unearned premiums, reinsurance share 08
402. Mathematical insurance provision, reinsurance share 00
413. Claims provision, reinsurance share 0295
424. Provision for premium returns depending and not depending on result (bonuses and discounts), reinsurance share 00
435. Provision for claims fluctuation, reinsurance share 00
446. Other technical insurance provision, reinsurance share 00
457. Special provision for insurance concerning life insurance group where the policyholder assumes the investment risk, reinsurance share 00
46G. DEFERRED AND CURRENT TAX ASSETS (047+048) 0110
471. Deferred tax assets 0110
482. Current tax assets 00
49H. RECEIVABLES (050 + 053 + 054) 2,1152,328
501. Receivables from direct insurance activities (051 + 052) 1,2831,685
511.1. Receivables from policyholders 1,2831,685
521.2. Receivables from insurance agents 00
532. Receivables from coinsurance and reinsurance activities 119
543. Other receivables (055 to 057) 830623
553.1. Receivables for other insurance activities 00
563.2. Receivables for returns on investments 00
573.3. Other receivables 830623
58I. OTHER ASSETS (059 + 063 + 064) 377430
591. Money in bank and in cash (060 to 062) 372411
601.1. Money on business acccount 371409
611.2. Money on mathematical provision account 00
621.3. Cash money 12
632. Long-term assets intended for sale and business termination 00
643. Other 519
65J. PREPAID EXPENSES OF THE FUTURE PERIOD AND UNDUE COLLECTION OF INCOME (066 to 068) 128156
661. Split interest and rental fees 811
672. Split sales costs 2345
683. Other paid expenses of the future period and undue income collection 97100
69K. TOTAL ASSETS (001+004+007+011+037+038+046+049+058+065) 28,31139,548
70L. NON-BALANCE SHEET RECORDS 4,2363,278
 LIABILITIES    
71A. CAPITAL AND RESERVES (072 + 076 + 077 + 081 + 085 + 088) 19,01719,039
721. Subscribed capital (073 to 075) 5,4055,405
731.1. Subscribed capital - common shares 5,4055,405
741.2. Subscribed capital - preferred shares 00
751.3. Capital invited to be paid 00
762. Capital reserves 00
773. Revaluation reserves (078 to 080) 01,200
783.1. Revaluation of land and buildings 05
793.2. Revaluation of investments in financial assets 01,195
803.3. Other revaluation reserves 00
814. Reserves (082 to 084) 329329
824.1. Legal provision 329329
834.2. Statutory provision 00
844.3. Other reserves 00
855. Retained profit or loss (086 + 087) 12,10411,500
865.1. Retained profit 12,10411,500
875.2. Retained loss (-) 00
886. Profit or loss for the period (089 + 090) 1,178604
896.1. Profit for the period 1,178604
906.2. Loss for the period ( -) 00
91B. MINORITY INTEREST 00
92C. TEHNICAL PROVISION (093 to 098) 4,91816,135
931. Unearned premiums, gross amount 3,4763,648
942. Mathematical insurance provision, gross amount 00
953. Claims provision, gross amount 29512,083
964. Provision for premium returns dependent upon or independent of result (bonuses and discounts), gross amount 00
975. Provision for claims fluctuation, gross amount 013
986. Other technical insurance provision, gross amount 1,148392
99D. SPECIAL PROVISION FOR THE GROUP LIFE INSURANCE WHERE THE POLICYHOLDER ASSUMES THE INVESTMENT RISK, gross amount 00
100E. OTHER PROVISION (101 + 102) 00
1011. Provision for pensions 00
1022. Other provision 00
103F. DEFERED AND CURRENT TAX LIABILITY (104 + 105) 18491
1041. Deferred tax liability 0279
1052. Current tax liability 18212
106G. DEPOSITS RETAINED FROM BUSINESS CEDED TO REINSURANCE 00
107H. FINANCIAL LIABILITIES (108 to 110) 748757
1081. Loan liabilities 743745
1092. Outstanding securities 00
1103. Other financial liabilities 512
111I. OTHER LIABILITIES (112 to 115) 3,6113,126
1121. Liabilities derived from direct insurance actiivties 1,3161,078
1132. Liabilities derived from coinsurance and reinsurance activities 029
1143. Liabilities for misappropriation and discontinued operations 00
1154. Other liabilities 2,2952,019
116J. DEFERRED PAYMENT OF EXPENSES AND INCOME OF THE FUTURE PERIOD (117+118) 00
1171. Reinsurance commision split 00
1182. Other deferred costs payment and future income 00
119K. TOTAL LIABILITIES (071+091+092+099+100+103+106+107+111+116 ) 28,31139,548
120L. NON-BALANCE SHEET RECORDS 4,2363,278
 BALANCE SHEET SUPPLEMENT (for consolidated report)    
121M. CAPITAL AND RESERVES (122+123) 00
1221. Attributable to majority owners 00
1232. Attributable to minority interests 00

The data in the financial report are in thousands of euros.
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