Notes | 2024 $’000 | |
Gross premiums written | 4 | |
Outward reinsurance premiums | ( | |
Premiums written, net of reinsurance | | |
Changes in unearned premium | ||
Change in the gross provision for unearned premiums | ( | |
Change in the provision for unearned premiums reinsurers’ 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 | | |
Reinsurers’ share | | |
Net claims paid | | |
Changes in the provision for claims | ||
Gross amount | ( | |
Reinsurers’ share | | |
Net change in provisions for claims | 5 | ( |
Claims incurred, net of reinsurance | ( | |
Net operating expenses | 6 | ( |
Balance on the technical account – general business | ( |
Notes | 2024 $’000 | |
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 | ||
(Loss) for the financial year | ( |
Notes | 2024 $’000 | |
Assets | ||
Investments | ||
Financial investments | | |
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 | | |
Other debtors | 14 | |
| ||
Other assets | ||
Cash at bank and in hand | 18 | |
Other | | |
| ||
Prepayments and accrued income | ||
Deferred acquisition costs | 5 | |
Other prepayments and accrued income | | |
| ||
Total assets | |
Notes | 2024 $’000 | |
Members’ balance and liabilities | ||
Capital and reserves | ||
Members’ balances | ( | |
( | ||
Technical provisions | ||
Provision for unearned premiums | 5 | |
Claims outstanding | 5 | |
Creditors | ||
Creditors arising out of direct insurance operations | ||
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 |
2024 $’000 | |
Members’ balances brought forward at 1 January | |
Total comprehensive income/(loss) for the year | ( |
Payments of profit to members’ personal reserve funds | |
Losses collected on closure of underwriting year | |
Cash calls on open underwriting years | |
Members agent fees | |
Net movement on funds in syndicate | |
Other | ( |
Members’ balances carried forward at 31 December | ( |
Notes | 2024 $’000 | |
Cash flows from operating activities | ||
Loss for the financial year | ( | |
Adjustments: | ||
Increase in gross technical provisions | ||
(Increase) in reinsurers’ share of technical provisions | ( | |
(Increase) in debtors | ( | |
Increase 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 | ||
Net cash flows from investing activities | | |
Cash flows from financing activities | ||
Distribution of profit | | |
Collection of losses | | |
(Release) of Funds in Syndicate | | |
Other | ( | |
Net cash flows from financing activities | ( | |
Net increase in cash and cash equivalents | 18 | |
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 |
GBP |
USD | | | |
EUR | | | |
AUD | |