UNCONSOLIDATED UNAUDITED

QUARTERLY REPORT,

FOR THE PERIOD

1 January 2022 - 31 December 2022

Zagreb, February 2023

This document is a translation of the original Croatian version and is intended to be used for informational purposes only. While every effort has been made to ensure the accuracy and completeness of the translation, please note that the Croatian original is binding.

CONTENT

I. UNAUDITED FINANCIAL STATEMENTS

3

STATEMENT OF COMPREHENSIVE INCOME

4

STATEMENT OF FINANCIAL POSITION (BALANCE SHEET)

6

STATEMENT OF CHANGES IN EQUITY

8

STATEMENT OF CASH FLOWS - indirect method

9

II. QUARTERLY MANAGEMENT REPORT

10

III. NOTES TO THE UNAUDITED FINANCIAL STATEMENTS FOR THE PERIOD I-XII 2022 ...

17

MANAGEMENT BOARD STATEMENT

30

I. UNAUDITED FINANCIAL STATEMENTS

Annex 1

ISSUER'S GENERAL DATA

Reporting period:

Year:

Quarter:

1.1.2022

2022

4

to

31.12.2022

Quarterly financial statements

Registration number (MB):

03276147

Issuer's home

HR

Member State code:

Entity's registration number (MBS):

080051022

Personal identification number (OIB):

26187994862

LEI:

74780000M0GHQ1VXJU20

Institution code:

199

Name of the issuer:

CROATIA osiguranje d.d.

Postcode and town:

10 000

ZAGREB

Street and house number:

Vatroslava Jagića 33

E-mail address:

info@crosig.hr

Web address:

www.crosig.hr

Number of employees

2501

(end of the reporting period):

KN

KD

Consolidated report:

KN

(KN-notconsolidated/KD-consolidated)

RN

RD

Audited:

RN

(RN-notaudited/RD-audited)

Names of subsidiaries (according to IFRS):

Registered office:

MB:

Bookkeeping firm:

No

No

(Yes/No)

(name of the bookkeeping firm)

Contact person: Jelena Matijević

(only name and surname of the contact person) Telephone: 072 00 1884

E-mailaddress: izdavatelji@crosig.hr

Audit firm:

(name of the audit firm)

Certified auditor:

(name and surname)

3

STATEMENT OF COMPREHENSIVE INCOME

(STATEMENT OF PROFIT OR LOSS) For the period: 1.1.2022 - 31.12.2022

in HRK

Item

ADP code

Same period of the previous year

Life

Non-life

Total

Current year

Life

Non-life

Total

1

2

3

4

5(3+4)

6

7

8(6+7)

I Earned premiums (ADP 119 to 123)

118

443.785.158

2.155.278.399

2.599.063.557

303.945.085

2.369.767.114

2.673.712.199

1

Gross w ritten premium

119

444.014.654

2.451.749.552

2.895.764.206

303.144.881

2.795.880.746

3.099.025.627

2

Value adjustment and charged premium value adjustment

120

0

15.076.135

15.076.135

0

7.051.052

7.051.052

3

Outw ard reinsurance premiums (-)

121

-72.243

-278.232.701

-278.304.944

-57.228

-343.783.436

-343.840.664

4

Change of gross provisions for unearned premiums (+/-)

122

-157.253

-49.978.876

-50.136.129

857.432

-103.162.504

-102.305.072

5

Change of provisions for unearned premiums, reinsurers' share (+/-)

123

0

16.664.289

16.664.289

0

13.781.256

13.781.256

II Income from investments (ADP 125 to 131)

124

99.319.691

295.307.927

394.627.618

112.119.298

324.548.357

436.667.655

1

Income from branches, associates and joint ventures.

125

3.583.367

61.798.901

65.382.268

5.674.729

67.360.034

73.034.763

2

Income from investment in land and buildings

126

0

42.025.451

42.025.451

0

55.192.144

55.192.144

3

Interest income

127

85.717.193

83.268.580

168.985.773

82.342.126

92.107.593

174.449.719

4

Unrealised gains on investments

128

1.942.070

19.030.321

20.972.391

2.095.889

10.231.475

12.327.364

5

Realised gains on investments

129

8.073.469

56.216.172

64.289.641

15.967.394

63.248.663

79.216.057

6

Net positive exchange rate differences

130

0

0

0

6.028.153

16.727.066

22.755.219

7

Other income from investments

131

3.592

32.968.502

32.972.094

11.007

19.681.382

19.692.389

III Income from commissions and fees

132

1.874.557

36.541.824

38.416.381

1.376.554

54.299.997

55.676.551

IV Other insurance-technical income, net amount from

133

944.147

27.605.551

28.549.698

768.632

25.752.848

26.521.480

reinsurance

V Other income

134

1

12.827.462

12.827.463

3.707

23.018.684

23.022.391

VI Claims incurred, net (ADP 136 + 139)

135

-413.578.267

-1.132.870.252

-1.546.448.519

-425.162.887

-1.229.205.984

-1.654.368.871

1 Claims settled (ADP 137+138)

136

-413.766.028

-1.182.570.496

-1.596.336.524

-413.131.383

-1.237.611.026

-1.650.742.409

1.1 Gross amount (-)

137

-413.766.028

-1.409.225.490

-1.822.991.518

-413.131.383

-1.391.432.247

-1.804.563.630

1.2 Reinsurers' share (+)

138

0

226.654.994

226.654.994

0

153.821.221

153.821.221

2 Change in the provision for claims (+/-) (ADP 140+141)

139

187.761

49.700.244

49.888.005

-12.031.504

8.405.042

-3.626.462

2.1 Gross amount

140

187.761

209.898.839

210.086.600

-12.031.504

-42.679.279

-54.710.783

2.3 Reinsurers' share

141

0

-160.198.595

-160.198.595

0

51.084.321

51.084.321

VII Change in mathematical provision and other technical

142

-95.547.136

-15.408.776

-110.955.912

-26.839.462

-3.749.389

-30.588.851

provisions, net of reinsurance (ADP 143+146)

1 Change in mathematical provisions (+/-) (ADP 144+145)

143

-95.547.136

4.755.518

-90.791.618

-26.839.462

2.938.407

-23.901.055

1.1 Gross amount (-)

144

-95.555.500

4.755.518

-90.799.982

-26.838.370

2.938.407

-23.899.963

1.2 Reinsurers' share (+)

145

8.364

0

8.364

-1.092

0

-1.092

2 Change in other technical provisions, net of reinsurance (+/-) (ADP

146

0

-20.164.294

-20.164.294

0

-6.687.796

-6.687.796

147+148)

2.1 Gross amount (-)

147

0

-20.164.294

-20.164.294

0

-6.687.796

-6.687.796

2.2 Reinsurers' share (+)

148

0

0

0

0

0

0

VIII Change of special provision for life assurance where

policyholders bear the investment risk, net of reinsurance (+/-)

149

44.865.715

0

44.865.715

151.000.361

0

151.000.361

(ADP 150+151)

1 Gross amount (-)

150

44.865.715

0

44.865.715

151.000.361

0

151.000.361

3 Reinsurers' share (+)

151

0

0

0

0

0

0

IX Cash payments for bonuses and rebates, net of reinsurance

152

0

-5.316.985

-5.316.985

0

-8.078.222

-8.078.222

(ADP 153+154)

1 Performance-dependent (bonuses)

153

0

-5.316.985

-5.316.985

0

-8.078.222

-8.078.222

2 Performance-independent (rebates)

154

0

0

0

0

0

0

4

STATEMENT OF COMPREHENSIVE INCOME

(STATEMENT OF PROFIT OR LOSS) For the period: 1.1.2022 - 31.12.2022

in HRK

Item

ADP

Same period of the previous year

Current year

code

Life

Non-life

Total

Life

Non-life

Total

1

4

5(3+4)

7

8(6+7)

2

3

6

X Operating expenses (business expenditures), net (ADP

155

-54.779.933

-875.718.038

-930.497.971

-32.585.997

-1.041.878.202

-1.074.464.199

156+160)

1 Acquisition costs (ADP 157 to 159)

156

-22.765.013

-511.372.989

-534.138.002

-9.103.034

-627.716.879

-636.819.913

1.1 Commission

157

-6.024.293

-278.271.016

-284.295.309

-3.919.822

-324.318.884

-328.238.706

1.2 Other acquisition costs

158

-16.740.720

-221.748.690

-238.489.410

-5.183.212

-295.336.679

-300.519.891

1.3 Change in deferred acquisition costs

159

0

-11.353.283

-11.353.283

0

-8.061.316

-8.061.316

2 Administration expenses (administrative costs) (ADP 161 to 163)

160

-32.014.920

-364.345.049

-396.359.969

-23.482.963

-414.161.323

-437.644.286

2.1 Depreciation

161

-2.607.131

-56.408.732

-59.015.863

-1.389.837

-59.496.631

-60.886.468

2.2 Salaries, taxes and contributions from/on salaries

162

-12.832.249

-116.878.801

-129.711.050

-9.671.835

-137.028.713

-146.700.548

2.3 Other administration expenses

163

-16.575.540

-191.057.516

-207.633.056

-12.421.291

-217.635.979

-230.057.270

XI Investment expenses (ADP 165 to 171)

164

-15.378.640

-76.080.111

-91.458.751

-15.069.295

-114.835.762

-129.905.057

1 Depreciation of land and buildings not occupied by an undertaking

165

0

0

0

0

0

0

for its ow n activities

2 Interest

166

-1.074.347

-10.649.415

-11.723.762

-468.346

-10.385.746

-10.854.092

3 Impairment of investments

167

0

-2.425.582

-2.425.582

-1.032.515

-7.571.254

-8.603.769

4 Realised loss on investments

168

-3.766.324

-14.049.330

-17.815.654

-11.820.561

-50.605.463

-62.426.024

5 Unrealised loss on investments

169

-702.467

-10.552.706

-11.255.173

-250.705

-4.681.113

-4.931.818

6 Net negative exchange rate differences

170

-7.998.369

-5.611.937

-13.610.306

0

0

0

7 Other investment expenses

171

-1.837.133

-32.791.141

-34.628.274

-1.497.168

-41.592.186

-43.089.354

XII Other technical expenses, net of reinsurance (ADP 173+174)

172

-1.015.246

-37.924.476

-38.939.722

-794.273

-36.399.119

-37.193.392

1 Expenses of preventive activities

173

0

0

0

0

0

0

2 Other technical expenses of insurance

174

-1.015.246

-37.924.476

-38.939.722

-794.273

-36.399.119

-37.193.392

XIII Other activities, including value adjustments

175

-10.242

-2.074.797

-2.085.039

-8.858

-63.440.038

-63.448.896

XIV Profit or loss for the accounting period before tax (+/-)

176

10.479.805

382.167.728

392.647.533

68.752.865

299.800.284

368.553.149

(ADP 118+124+132 to 135+142+149+152+155+164+172+175)

XV Profit or loss tax (ADP 178+179)

177

-1.682.854

-56.851.399

-58.534.253

-11.630.945

-43.939.539

-55.570.484

1 Current tax expense

178

-2.030.911

-60.271.625

-62.302.536

-11.953.451

-45.099.337

-57.052.788

2 Deferred tax expense (income)

179

348.057

3.420.226

3.768.283

322.506

1.159.798

1.482.304

XVI Profit or loss for the accounting period after tax (+/-) (ADP

180

8.796.951

325.316.329

334.113.280

57.121.920

255.860.745

312.982.665

176+177)

1 Attributable to ow ners of the parent

181

0

0

0

0

0

0

2 Attributable to non-controlling interest

182

0

0

0

0

0

0

XVII TOTAL INCOME (ADP 118+124+132+133+134+179)

183

546.271.611

2.530.981.389

3.077.253.000

418.535.782

2.798.546.798

3.217.082.580

XVIII TOTAL EXPENSES (ADP

184

-537.474.660

-2.205.665.060

-2.743.139.720

-361.413.862

-2.542.686.053

-2.904.099.915

135+142+149+152+155+164+172+175+178)

IX Other comprehensive income (ADP 186 to 193)

185

-29.064.411

176.771.421

147.707.010

-181.692.089

-304.682.683

-486.374.772

1 Gains/losses arising from translation of financial statements relating

186

0

52.637

52.637

0

-67.765

-67.765

to foreign operations

2 Gains/losses arising from the revaluation of financial assets available

187

-35.444.404

215.535.783

180.091.379

-221.575.718

-370.306.490

-591.882.208

for sale

3 Gains/losses arising from the revaluation of land and buildings

188

0

-25.071

-25.071

0

-1.175.117

-1.175.117

occupied by an undertaking for its ow n activities

4 Gains/losses arising from the revaluation of other tangible (other than

189

0

0

0

0

0

0

land and property) and intangible assets

5 Effects of cash flow hedging instruments

190

0

0

0

0

0

0

6 Actuarial gains/losses on pension plans w ith defined pensions

191

0

0

0

0

0

0

7 Share in other comprehensive income of associates

192

0

0

0

0

0

0

8 Income tax on other comprehensive income

193

6.379.993

-38.791.928

-32.411.935

39.883.629

66.866.689

106.750.318

XX Total comprehensive income (ADP 180 +185)

194

-20.267.460

502.087.750

481.820.290

-124.570.169

-48.821.938

-173.392.107

1 Attributable to owners of the parent

195

0

0

0

0

0

0

2 Attributable to non-controlling interests

196

0

0

0

0

0

0

XXI Reclassification adjustments

197

0

0

0

0

0

0

5

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Croatia osiguranje dd published this content on 23 February 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 23 February 2023 14:23:09 UTC.