CROS : Financial reports

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ADPCaption2024-03
cons.
2023-12
cons. a.
2023-12
cons.
2023-09
cons.
2023-06
cons.
2023-03
cons.
2022-12
cons. a.
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2022-09
cons.
1I. Income from insurance contracts (ADP 2+3+4) 120,979,540476,395,502
21. General measurement model 4,355,57617,381,437
32. Variable fee approach 180,345827,962
43. Premium allocation approach 116,443,619458,186,103
5II. Expenditure from insurance contracts (ADP 6+7+…+12) -107,375,145-442,600,901
61. Claims incurred -66,386,783-299,289,268
72. Commissions -11,714,153-46,582,022
83. Other expenses related to the sale of insurance -10,997,154-47,779,976
94. Other insurance service expenses -18,277,381-73,065,423
105. Depreciation of insurance acquisition costs 00
116. Losses and reversal of losses on onerous contracts 588,3812,209,707
127. Change in liabilities for claims incurred -588,05521,906,081
13III. Net result of (passive) reinsurance contracts (ADP 14+15) -2,519,441-8,542,382
141. Income from (passive) reinsurance contracts 10,797,41153,695,677
152. Expenditure from (passive) reinsurance contracts -13,316,852-62,238,059
16IV. Result from insurance contracts (ADP 1+5+13) 11,084,95425,252,219
17V. Net investment result (ADP 18+23+24+25+26+27+31+32+33+34) 14,661,83559,762,428
181. Net result from investment in land and buildings (ADP 19+20+21+22) 3,554,19016,780,211
191.1. Rental gains/losses (net) 3,548,88514,084,329
201.2. Realised gains/losses (net) from property not for own use 5,30536,808
211.3. Unrealised gains/losses (net) from property not for own use 02,659,074
221.4. Depreciation of land and buildings not occupied by an undertaking for its own activities 00
232. Interest revenue calculated using the effective interest rate method 7,970,77930,793,473
243. Other interest income 29,0481,115,324
254. Dividend income 130,8817,784,473
265. Unrealised gains/losses (net) from financial assets at fair value through profit or loss 1,496,9944,051,145
276. Realised gains/losses (ADP 28+29+30) 796,3201,363,336
286.1. Realised gains/losses (net) from financial assets at fair value through profit or loss 657,5271,070,809
296.2. Realised gains/losses (net) from financial assets at fair value through other comprehensive income 138,793292,527
306.3. Other realised gains/losses (net) 00
317. Net impairment / reversal of impairment of investments 163,8151,493,380
328. Net exchange rate differences 594,584-1,012,190
339. Other income from investments 792,135795,066
3410. Other expenditure from investments -866,911-3,401,790
35VI. Net financial expenditure from insurance and (passive) reinsurance contracts (ADP 36+37+38) -3,168,860-6,116,466
361. Net financial income/expenditure from insurance contracts -3,421,886-6,906,928
372. Net financial income/expenditure from (passive) reinsurance contracts 253,026790,462
383. Change of liability for investment contracts 00
39VII. Other income 8,906,03031,103,484
40VIII. Other operating expenses -12,243,167-40,794,372
41IX. Other financial expenses -441,082-1,814,668
42X. Share of profit of companies consolidated using equity method, net of tax 400,0441,781,169
43XI. Profit or loss of the accounting period before tax (+/-) (ADP 1+5+13+16+17+35+39+40+41+42) 19,199,75469,173,794
44XII. Tax on profit or loss (ADP 45+46) -3,347,220-10,721,288
451. Current tax expense -3,309,241-20,397,175
462. Deferred tax expense/ income -37,9799,675,887
47XIII. Profit or loss of the accounting period after tax (+/-) (ADP 43+44) 15,852,53458,452,506
481. Attributable to owners of the parent 15,839,36458,380,781
492. Attributable to non-controlling interest 13,17071,725
50XIV. Other comprehensive income (ADP 51+56) 16,483,675-4,814,558
511. Items that will not be reclassified to statement of profit or loss (ADP 52+53+54+55) 13,503,24819,135,153
521.1. Net change in fair value of equity securities (OCI) 16,467,37523,288,375
531.2. Actuarial gains/losses on defined benefit pension plans 00
541.3. Other 0-952
551.4. Tax -2,964,127-4,152,270
562. Items that are, or may be, reclassified to statement of profit or loss (ADP 57+58+...+63) 2,980,427-23,949,711
572.1. Net change in fair value of debt securities (OCI) 1,488,02518,966,425
582.2. Exchange rate differences from translation of foreign operations 15,200-6,774
592.3. Effects of hedging instruments 00
602.4. Net financial income/expenditure from insurance contracts 2,500,546-49,212,578
612.5. Net financial income/expenditure from (passive) reinsurance contracts -472,6121,184,611
622.6. Other 00
632.7. Tax -550,7325,118,605
64XV. Total comprehensive income (ADP 47+50) 32,336,20953,637,948
651. Attributable to owners of the parent 32,320,53953,596,493
662. Attributable to non-controlling interest 15,67041,455
67XVI. Reclassification adjustments 00

The data in the financial report are in euros.
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