Amana Takaful PLC

Interim Report

31 December 2021

STATEMENT OF FINANCIAL POSITION

Group

Company

Unaudited as at

Audited as at

Unaudited as at

Audited as at

AS AT

Notes

31.12.2021

31.12.2020

31.12.2021

31.12.2020

Rs.

Rs.

Rs.

Rs.

ASSETS

Intangible Assets

118,994,235

109,311,653

29,839,330

28,336,185

Property, Plant and Equipment

71,312,630

68,650,769

39,576,286

36,112,121

Right of use of Lease assets

3

252,482,989

249,555,652

21,550,355

12,936,038

Deferred Tax Asset

13

8,117,576

7,549,555

-

-

Investment Property

194,000,000

194,000,000

46,500,000

46,500,000

Investment in Subsidiary

-

-

1,052,867,811

1,052,867,811

Financial Assets

4

3,928,752,842

3,177,241,470

1,036,258,435

805,547,093

Financial Assets - Unit Linked

5

2,121,613,588

1,907,619,575

-

-

Retakaful (Reinsurance) Receivables

412,484,087

419,515,247

270,935,900

362,802,595

Contribution (Premium) Receivable

991,944,884

639,192,920

767,089,545

471,905,295

Other Assets

232,944,638

223,167,168

103,052,423

81,160,339

Cash and Bank Balances

11

170,079,981

112,834,891

56,793,050

47,399,475

Cash and Bank Balances - Unit Linked

11

9,583,462

2,243,871

-

-

Total Assets

8,512,310,912

7,110,882,772

3,424,463,136

2,945,566,952

LIABILITIES

Insurance Contract Liabilities - Non Life

1,710,261,552

1,260,983,971

924,221,114

878,842,046

Insurance Contract Liabilities - Family Takaful Fund

398,826,560

445,781,710

-

-

Insurance Contract Liabilities- Family Takaful Unit Linked

2,139,784,454

1,913,106,560

-

-

Employee Benefits

79,615,431

82,631,700

38,832,413

32,218,450

Subordinated Debt

367,206,527

214,527,602

411,145,864

263,096,369

Other Liabilities - Unit Linked

89,276,210

74,379,141

-

-

Other Liabilities

1,238,727,610

907,132,967

494,464,514

252,646,187

Lease Liability

3

123,388,375

116,592,013

22,426,056

13,749,012

Total Liabilities

6,147,086,720

5,015,135,664

1,891,089,960

1,440,552,063

SHAREHOLDERS' EQUITY

Stated Capital

20

1,860,001,339

1,860,001,339

1,860,001,339

1,860,001,339

Other Reserves

201,617,688

153,197,188

28,477,953

28,477,953

Revenue Reserves

(372,634,258)

(487,950,307)

(355,106,116)

(383,464,404)

1,688,984,769

1,525,248,220

1,533,373,176

1,505,014,888

Non Controlling Interest

676,239,423

570,498,888

-

-

Total Equity

2,365,224,192

2,095,747,108

1,533,373,176

1,505,014,888

Total Liabilities and Equity

8,512,310,912

7,110,882,772

3,424,463,136

2,945,566,952

The notes form an integral part of the Financial Statements.

We certify that the preparation and presentation of these Financial Statements comply with the requirements under Companies Act, No. 07 of 2007.

Signed

Signed

……………………………….

……………………………….

M. Rinaz Niyas

Shehan Feisal

Head of Finance

Chief Executive Officer

Signed for and on behalf of the Board

Signed

Signed

……………………………….

……………………………….

Director

Director

Colombo

28 February 2022

Amana Takaful PLC

1

Interim Report 31 December 2021

STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

Group

Company

Unaudited

Audited

Unaudited

Audited

FOR THE YEAR ENDED 31 DECEMBER

2021

2020

Change

2021

2020

Change

Notes

Rs.

Rs.

%

Rs.

Rs.

%

Gross Written Contribution (Premium)

6

5,183,128,946

4,143,673,826

25%

2,443,290,012

1,839,498,270

33%

Retakaful Contribution (Reinsurance Premium)

(1,234,273,688)

(1,174,788,491)

-5%

(739,494,217)

(483,162,934)

-53%

Net Written Contribution (Premium)

3,948,855,258

2,968,885,335

33%

1,703,795,794

1,356,335,336

26%

Net Change in Reserve for Un-Earned Contribution (Premium)

(251,183,272)

30,591,806

-921%

(103,260,968)

(10,633,829)

-871%

Net Earned Contribution (Premium)

3,697,671,986

2,999,477,141

23%

1,600,534,826

1,345,701,507

19%

Other Revenue

Income from investments

353,715,443

388,219,117

-9%

111,869,155

73,939,920

51%

Other income

200,453,422

134,649,140

49%

52,989,009

31,572,007

68%

Total Revenue

7

4,251,840,850

3,522,345,399

21%

1,765,392,990

1,451,213,434

22%

Benefits, Losses and Expenses

Takaful (Insurance) claims and benefits

(1,943,955,720)

(1,632,750,665)

-19%

(884,302,209)

(738,874,019)

-20%

Acquisition Cost (net of reinsurance commission)

(410,156,828)

(250,332,925)

-64%

(133,060,368)

(101,221,711)

-31%

Change in Family Takaful Contract Liability

(179,052,185)

(140,186,358)

-28%

-

-

-

Other Operating and Administration Expenses

(1,306,859,005)

(1,146,735,202)

-14%

(647,744,760)

(519,752,865)

-25%

Depreciation

(66,660,494)

(51,368,741)

-30%

(27,977,052)

(18,325,312)

-53%

Total Claims, Benefits and Expenses

(3,906,684,232)

(3,221,373,891)

-21%

(1,693,084,390)

(1,378,173,907)

-23%

Profit from Operations

345,156,618

300,971,508

15%

72,308,601

73,039,528

-1%

Finance cost

(47,085,405)

(40,948,455)

-15%

(40,807,326)

(34,276,320)

-19%

Profit Before Taxation

10

298,071,214

260,023,052

15%

31,501,275

38,763,207

-19%

Income Tax Expenses

12

(47,725,448)

(37,597,465)

-27%

-

-

-

Net Profit for the Period

250,345,766

222,425,588

13%

31,501,275

38,763,207

-19%

Attributable to:

Rs

Rs

Equity holders of the parent

140,132,812

120,577,502

Non-Controlling Interest

110,212,953

101,848,086

250,345,766

222,425,588

Rs

Rs

Rs

Rs

Basic, Diluted Earnings Per Share

0.78

0.67

16%

0.18

0.22

-19%

Dividend per share

Interim dividend paid per share

-

-

-

-

-

-

Final proposed dividend per share

-

-

-

-

-

-

-

-

-

-

-

-

OTHER COMPREHENSIVE INCOME

Group

Company

Unaudited

Audited

Unaudited

Audited

FOR THE YEAR ENDED 31 DECEMBER

2021

2020

Change

2021

2020

Change

Rs.

Rs.

%

Rs.

Rs.

%

Profit for the period

250,345,766

222,425,588

13%

31,501,275

38,763,207

-19%

Change in Fair Value of Available for Sale Financial Assets

(42,234,705)

28,014,832

-251%

1,400,614

964,544

45%

Fair Value of Available for Sale Financial Assets Transferred to Policyholder's

3,489,284

4,835,645

-28%

-

-

0%

Reserve

Defined Benefit Plan Actuarial Losses

(4,459,358)

8,201,311

-154%

(4,543,601)

7,017,695

-165%

Foreign Currency Translation Differences for Foreign Operations

88,037,275

24,043,144

266%

-

-

-

295,178,263

287,520,519

3%

28,358,288

46,745,446

-39%

Total Comprehensive Income for the period

295,178,263

287,520,519

3%

28,358,288

46,745,446

-39%

Attributable to;

Equity holders of the parent

164,366,826

161,614,979

Non-Controlling Interest

130,811,437

125,905,539

295,178,263

287,520,519

Amana Takaful PLC

2

Interim Report 31 December 2021

STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

Group

Company

Unaudited

Unaudited

Unaudited

Unaudited

FOR THE QUARTER ENDED 31 DECEMBER

2021

2020

Change

2021

2020

Change

Rs.

Rs.

%

Rs.

Rs.

%

Gross Written Contribution (Premium)

1,349,977,656

857,388,239

57%

696,635,123

450,585,854

55%

Retakaful Contribution (Reinsurance Premium)

(297,621,904)

(188,876,461)

-58%

(165,829,471)

(109,238,742)

-52%

Net Written Contribution (Premium)

1,052,355,752

668,511,778

57%

530,805,652

341,347,113

56%

Net Change in Reserve for Un-Earned Contribution (Premium)

(2,270,726)

64,299,596

-104%

(45,569,109)

(10,528,861)

-333%

Net Earned Contribution (Premium)

1,050,085,026

732,811,374

43%

485,236,543

330,818,252

47%

Other Revenue

Income from investments

125,407,768

89,586,626

40%

47,996,956

23,993,206

100%

Other income

74,069,845

64,010,628

16%

40,096,310

28,969,025

38%

Total Revenue

1,249,562,638

886,408,629

41%

573,329,809

383,780,483

49%

Benefits, Losses and Expenses

Takaful (Insurance) claims and benefits

(659,347,364)

(387,304,757)

-70%

(297,837,577)

(158,722,292)

-88%

Acquisition Cost (net of reinsurance commission)

(114,615,354)

(83,377,400)

-37%

(36,458,404)

(34,709,931)

-5%

Change in Family Takaful Contract Liability

(37,759,706)

(49,681,826)

24%

-

-

-

Other Operating and Administration Expenses

(361,164,996)

(315,610,561)

-14%

(188,341,036)

(167,638,390)

-12%

Depreciation

(29,174,308)

(12,818,698)

-128%

(12,787,892)

(5,212,601)

-145%

Total Claims, Benefits and Expenses

(1,202,061,728)

(848,793,242)

-42%

(535,424,910)

(366,283,214)

-46%

Profit / (Loss) from Operations

47,500,910

37,615,387

26%

37,904,899

17,497,269

117%

Finance cost

(15,583,507)

(7,019,721)

-122%

(13,789,467)

(6,478,030)

-113%

Profit / (Loss) Before Taxation

31,917,403

30,595,665

4%

24,115,432

11,019,240

119%

Income Tax Expenses

(6,707,882)

(19,723,919)

66%

-

-

-

Net Profit / (Loss) for the Period

25,209,521

10,871,746

132%

24,115,432

11,019,240

119%

Attributable to:

Rs

Rs

Equity holders of the parent

19,283,186

2,148,816

Non-Controlling Interest

5,926,335

8,722,930

25,209,521

10,871,746

Rs

Rs

Rs

Rs

Basic, Diluted Earnings Per Share

0.11

0.05

133%

0.13

0.06

119%

Dividend per share

Interim dividend paid per share

-

-

-

-

-

-

Final proposed dividend per share

-

-

-

-

-

-

-

-

-

-

-

-

OTHER COMPREHENSIVE INCOME

Group

Company

Unaudited

Unaudited

Unaudited

Unaudited

FOR THE QUARTER ENDED 31 DECEMBER

2021

2020

Change

2021

2020

Change

Rs.

Rs.

%

Rs.

Rs.

%

Other Comprehensive Income

Profit/(Loss) for the period

25,209,521

10,871,746

132%

24,115,432

11,019,240

119%

Change in Fair Value of Available for Sale Financial Assets

15,527,802

13,509,375

15%

1,400,614

964,544

45%

Fair Value of Available for Sale Financial Assets Transferred to

1,579,440

2,413,688

-35%

-

-

-

Policyholder's Reserve

Defined Benefit Plan Actuarial Losses

(4,459,358)

8,201,311

-154%

(4,543,601)

7,017,695

-165%

Foreign Currency Translation Differences for Foreign Operations

(177,980)

6,486,001

-103%

-

-

-

Total Comprehensive Income / (Loss) for the period

37,679,425

41,482,121

-9%

20,972,445

19,001,479

10%

Attributable to;

Equity holders of the parent

25,196,385

23,334,049

Non-Controlling Interest

12,483,039

18,148,072

37,679,425

41,482,121

3

Amana Takaful PLC

Interim Report 31 December 2021

GROUP STATEMENT OF CHANGES IN EQUITY

FOR THE YEAR ENDED 31 DECEMBER 2021

Other Reserves

Revenue Reserves

Stated Capital

Revaluation

Translation

Available For

Policy Holder's

Accumulated

Non Controlling

Total Equity

Reserve

Reserve

Sale Reserve

Rserve

Losses

Interest

(Rs)

(Rs)

(Rs)

(Rs)

(Rs)

(Rs)

(Rs)

(Rs)

Balance as at 1st January 2020

1,860,001,339

32,358,037

109,167,127

74,738,370

2,636,389

(715,268,022)

461,736,457

1,825,369,698

Net Profit for the period

-

-

-

-

-

120,577,502

101,848,086

222,425,588

Foreign Currency Translation Difference

-

-

13,223,729

-

-

-

10,819,415

24,043,144

Net Change in Fair Value of Available-for-Sale Financial Assets Transferred (to)/ from Policyholders Reserve

-

-

-

-

3,979,736

-

855,909

4,835,645

Net Change in Fair Value of Available for Sale Financial Assets

-

-

-

15,842,202

-

-

12,172,629

28,014,832

Defined Benefit Plan Actuarial Losses

-

-

-

-

-

7,991,811

209,500

8,201,311

Total Comprehensive Income

-

-

13,223,729

15,842,202

3,979,736

128,569,312

125,905,461

287,520,519

Transfer of revaluation surplus to retained earnings, at the disposal

-

(1,551,705)

-

-

-

1,551,705

-

-

Dividend Distributed

-

-

-

-

-

-

(17,143,108)

(17,143,108)

Total Changes in Ownership Interests

-

(1,551,705)

-

-

-

1,551,705

(17,143,108)

(17,143,108)

Balance as at 31st December 2020

1,860,001,339

30,806,332

122,390,855

90,580,571

6,616,124

(585,147,001)

570,498,888

2,095,747,108

Net Profit for the period

-

-

-

-

-

140,132,812

110,212,953

250,345,766

Defined Benefit Plan Actuarial Losses

-

-

-

-

-

(4,459,358)

-

(4,459,358)

Net Change in Fair Value of Available for Sale Financial Assets

-

-

-

(23,229,088)

-

-

(19,005,617)

(42,234,705)

Net Change in Fair Value of Available-for-Sale Financial Assets Transferred (to)/ from Policyholders Reserve

-

-

-

-

2,871,681

-

617,603

3,489,284

Foreign Currency Translation Difference

-

-

48,420,501

-

-

-

39,616,774

88,037,275

Total Comprehensive Income

-

-

48,420,501

(23,229,088)

2,871,681

135,673,454

131,441,791

295,178,340

Dividend Distributed

-

-

-

-

-

-

(25,701,256)

(25,701,256)

Total changes in ownership interests

-

-

-

-

-

-

(25,701,256)

(25,701,256)

Balance as at 31st December 2021

1,860,001,339

30,806,332

170,811,356

67,351,484

9,487,805

(449,473,547)

676,239,423

2,365,224,192

Amana Takaful PLC

4

Interim Report 31 December 2021

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Amana Takaful plc published this content on 28 February 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 February 2022 09:51:08 UTC.