| Notes | 2025 | |
| Gross premiums written | 4 | |
| Outward reinsurance premiums | ( | |
| Premiums written, net of reinsurance | ||
| Changes in unearned premium | ||
| Change in the gross provision for unearned premiums | ( | |
share | ||
| Net change in provisions for unearned premiums | 5 | ( |
| Earned premiums, net of reinsurance | ||
Allocated investment return transferred from the non-technical account | ||
| Other technical income, net of reinsurance | - | |
| Claims paid | ||
| Gross amount | ( | |
| - | ||
| Net claims paid | ( | |
| Changes in the provision for claims | ||
| Gross amount | ( | |
| Net change in provisions for claims | 5 | ( |
| Claims incurred, net of reinsurance | ( | |
| Net operating expenses | 6 | ( |
| Balance on the technical account general business | ( |
| Notes | 2025 | |
| Balance on the technical account general business | ( | |
| Investment income | ||
| Realised gains/(losses) on investments | ||
| Unrealised gains/(losses) on investments | ||
| Investment expenses and charges | ||
| Total investment return | ||
Allocated investment return transferred to the general business technical account | ( | |
Gain/(loss) on foreign exchange | ( | |
| Profit/(loss) for the financial year | ( | |
| Other comprehensive income currency translation gains/(losses) | ||
| Total comprehensive income/(loss) for the financial year | ( |
| Notes | 2025 | |
Assets | ||
Investments | ||
| Financial investments | 11 | |
| Deposits with ceding undertakings | | |
| Reinsurers' share of technical provisions | ||
| Provision for unearned premiums | 5 | |
| Claims outstanding | 5 | |
| Debtors | ||
| Debtors arising out of direct insurance operations | 12 | |
| Debtors arising out of reinsurance operations | 13 | |
| Other debtors | 14 | |
| Other assets | ||
| Cash at bank and in hand | ||
| Other | | |
| Prepayments and accrued income | ||
| Deferred acquisition costs | 5 | |
| Other prepayments and accrued income | ||
| Total assets |
Notes | 2025 | |
Capital and reserves | ||
( | ||
| Total Capital and Reserves | ( | |
Technical provisions | ||
| Provision for unearned premiums | 5 | |
| Claims outstanding | 5 | |
Creditors | ||
| Creditors arising out of direct insurance operations | 15 | - |
| Creditors arising out of reinsurance operations | 16 | |
| Amounts owed to credit institutions | - | |
| Other creditors including taxation and social security | 17 | |
| Accruals and deferred income | ||
| Total liabilities | ||
| Total liabilities, capital and reserves |
2025 | |
- | |
Total comprehensive income/(loss) for the year | ( |
- | |
Losses collected on closure of underwriting year | |
Cash calls on open underwriting years | |
Members agent fees | ( |
Net movement on Funds In Syndicate | - |
Other | - |
| December | ( |
| Notes | 2025 | |
| Cash flows from operating activities | ||
| Profit/(loss) for the financial year | ( | |
| Increase/(decrease) in gross technical provisions | ||
provisions | ( | |
| (Increase)/decrease in debtors | ( | |
| Increase/(decrease) in creditors | ||
| (Increase)/decrease in deposits received from reinsurers | - | |
| Movement in other assets/liabilities | ( | |
| Foreign exchange | - | |
| Investment return | ( | |
| Net cash flows from operating activities | ||
| Cash flows from investing activities | ||
| Purchase of equity and debt instruments | - | |
| Sale of equity and debt instruments | - | |
| Investment income received | | |
| Other | - | |
| Net cash flows from investing activities | | |
| Cash flows from financing activities | ||
| Distribution of profit | - | |
| Collection of losses on closed underwriting year | - | |
| Cash calls on open underwriting years | - | |
| Net movement of Funds In Syndicate | - | |
| Other | ( | |
| Net cash flows from financing activities | ( | |
| Net increase/(decrease) in cash and cash equivalents | ||
| Cash and cash equivalents at the beginning of the year | - | |
| Foreign exchange on cash and cash equivalents | - | |
| Cash and cash equivalents at the end of the year | 18 |
| 2025 | 2025 | 2025 | |
Start of Period Rate | End of Period Rate | Average Rate | |
GBP | | ||
USD | |||
CAD | | ||
EUR | | ||
AUD | |||
| JPY |
2025 | Gross premiums written | Gross premiums earned | Gross claims incurred | Gross operating expenses | Reinsurance balance | Underwritin g Result |
| $ | $ | $ | $ | $ | $ | |
Direct insurance | ||||||
Accident and Health | - | - | - | - | - | - |
Motor (third party liability) | - | - | - | - | - | - |
Marine, Aviation and Transport | - | - | - | - | - | - |
Fire and other damage to property | ( | ( | ( | |||
Credit and suretyship | - | - | - | - | - | - |
Legal expenses | - | - | - | - | - | - |
| Assistance | - | - | - | - | - | - |
Third party liability | ( | ( | ( | |||
| Miscellaneous | - | - | - | - | - | - |
| Total Direct | | ( | ( | ( | ||
Reinsurance acceptances | ( | ( | ( | |||
| Total | ( | ( | ( | ( |
2025 | |
| United Kingdom | |
| European Union Member States | - |
| US | - |
| Rest of the world | - |
| Total gross premiums written |
| Balance at 1 January | |||
| Premiums written during the year | ( | ||
| Premiums earned during the year | ( | ( | |
| Foreign exchange movements | ( | ||
| Balance at 31 December | ( |
Deferred acquisition costs | |||
| Balance at 1 January | |||
| Incurred deferred acquisition costs | | ( | |
Amortised deferred acquisition costs | ( | ( | |
| Foreign exchange movements | ( | ||
| Balance at 31 December | ( |
2025 | |
Acquisition costs | |
Change in deferred acquisition costs | ( |
Reinsurance commissions and profit participation | ( |
Administration expenses | |
Net operating expenses |
2025 | |
| Total commission for direct insurance business |
2025 | |
services pursuant to legislation | |
Total | 442 |
2025 | |
From financial assets designated at fair value through profit or loss | $ |
Interest and similar income | - |
Dividend income | - |
Interest on cash at bank | |
Gains on the realisation of investments | - |
Losses on the realisation of investments | - |
Unrealised gains on investments | - |
| Unrealised losses on investments | - |
Investment management expenses | - |
Total investment return |
31 December 2025 | Carrying value | Cost |
| $ | $ | |
Shares and other variable yield securities and units in unit trusts | ||
Debt securities and other fixed income securities | - | - |
Loans and deposits with credit institutions | - | - |
Syndicate loans to central fund | - | - |
Other investments | - | - |
Total financial investments |
| 2025 | |
| $ | |
Financial assets measured at fair value through profit or loss | |
Financial assets measured at fair value as available for sale | - |
Financial assets measured at amortised cost | - |
Total financial investments |
2025 | $ | ||||
Level 1 | Level 2 | Level 3 | Assets held at amortised cost | Total | |
Shares and other variable yield securities and units in unit trusts | | - | - | - | |
Debt securities and other fixed income securities | - | - | - | - | - |
Loans and deposits with credit institutions | - | - | - | - | - |
Syndicate loans to central fund | - | - | - | - | - |
Other investments | - | - | - | - | - |
Total | - | - | - |
2025 | |
Due within one year | |
Due after one year | - |
Total |
2025 | |
Due within one year | |
Due after one year | - |
Total |
| 14. Other debtors | |
| 2025 | |
| Inter syndicate balances | - |
| Other related party balances (non-syndicate) | - |
| Amounts due from members | - |
Other | |
Total |
16. Creditors arising out of reinsurance operations | |
2025 | |
Due within one year | |
Due after one year | - |
Total |
| 2025 | |
Cash at bank and in hand | |
Deposits with credit institutions | |
Short term debt instruments presented within other financial investments | |
Bank overdrafts | |
Total cash and cash equivalents |
| 2025 | |
Total cash and cash equivalents held in regulated accounts in overseas jurisdictions |
Underwriting year | 2025 |
Estimate of cumulative gross claims incurred | |
At end of first underwriting year | |
One year later | |
Two years later | |
Three years later | |
Less: cumulative gross claims paid | ( |
Gross claims reserves | |
Total gross claims reserves |
Underwriting year | 2025 |
Estimate of cumulative net claims incurred | |
At end of first underwriting year | |
One year later | |
Two years later | |
Three years later | |
Less: cumulative net claims paid | ( |
Net claims reserves | |
Total net claims reserves |
| 2025 | $ | ||||
Neither past due n or impaired assets | Past due but not impaired assets | Gross value of impaired assets | Impair ment allowance | Total | |
Shares and other variable yield securities and units in unit trusts | - | - | - | ||
Debt securities and other fixed income securities | - | - | - | - | - |
Syndicate loans to central fund | - | - | - | - | - |
Deposits with ceding undertakings | - | - | - | - | - |
outstanding | - | - | - | ||
Debtors arising out of reinsurance operations | - | - | - | ||
Debtors arising out of direct insurance operations | - | - | - | ||
Other debtors and accrued interest | - | - | - | ||
Cash at bank and in hand | - | - | - | ||
Other Assets | 9 | - | - | - | 9 |
Total | - | - | - |
| 2025 | $ | |||||
No stated maturity | 0-1 Year | 1-3 Years | 3-5 Years | > 5 years | Total | |
Claims outstanding | | |||||
| Creditors | | |||||
| Total |
| 2025 - | ||||||
GBP | USD | EUR | CAD | AUD | Total | |
| Investments | ||||||
| technical provisions | ||||||
| Debtors | ||||||
| Other assets | ||||||
Other Prepayments and accrued income | ||||||
| Total assets | ||||||
| Technical provisions | ( | ( | ( | ( | ( | ( |
Deposits received from reinsurers | - | - | - | - | - | - |
| Creditors | ( | ( | ( | ( | ( | |
Accruals and deferred income | ( | ( | ( | ( | ( | |
| Total liabilities | ( | ( | ( | ( | ( | ( |
Total capital and reserves | ( | ( | ( |