Table as Excel file:
download (31 KB)
Assets |
|
|
in EUR thousand |
30.6.2016 |
31.12.2015 |
Fixed-income securities – held to maturity |
652,150 |
1,007,665 |
Fixed-income securities – loans and receivables |
2,819,395 |
2,869,865 |
Fixed-income securities – available for sale |
30,195,423 |
29,616,448 |
Fixed-income securities – at fair value through profit or loss |
101,229 |
108,982 |
Equity securities – available for sale |
829,202 |
452,108 |
Other financial assets – at fair value through profit or loss |
41,435 |
39,602 |
Real estate and real estate funds |
1,668,774 |
1,673,958 |
Investments in associated companies |
115,781 |
128,008 |
Other invested assets |
1,512,515 |
1,544,533 |
Short-term investments |
813,178 |
1,113,130 |
Cash and cash equivalents |
1,004,942 |
792,604 |
Total investments and cash under own management |
39,754,024 |
39,346,903 |
Funds withheld |
12,710,089 |
13,801,845 |
Contract deposits |
209,666 |
188,604 |
Total investments |
52,673,779 |
53,337,352 |
Reinsurance recoverables on unpaid claims |
1,513,226 |
1,395,281 |
Reinsurance recoverables on benefit reserve |
997,168 |
1,367,173 |
Prepaid reinsurance premium |
209,382 |
164,023 |
Reinsurance recoverables on other technical reserves |
3,044 |
8,687 |
Deferred acquisition costs |
2,017,978 |
2,094,671 |
Accounts receivable |
3,799,222 |
3,665,937 |
Goodwill |
63,809 |
60,244 |
Deferred tax assets |
357,208 |
433,500 |
Other assets |
673,994 |
680,543 |
Accrued interest and rent |
8,889 |
7,527 |
|
|
|
Total assets |
62,317,699 |
63,214,938 |
Assets |
|
|
in EUR thousand |
30.6.2016 |
31.12.2015 |
Fixed-income securities – held to maturity |
652,150 |
1,007,665 |
Fixed-income securities – loans and receivables |
2,819,395 |
2,869,865 |
Fixed-income securities – available for sale |
30,195,423 |
29,616,448 |
Fixed-income securities – at fair value through profit or loss |
101,229 |
108,982 |
Equity securities – available for sale |
829,202 |
452,108 |
Other financial assets – at fair value through profit or loss |
41,435 |
39,602 |
Real estate and real estate funds |
1,668,774 |
1,673,958 |
Investments in associated companies |
115,781 |
128,008 |
Other invested assets |
1,512,515 |
1,544,533 |
Short-term investments |
813,178 |
1,113,130 |
Cash and cash equivalents |
1,004,942 |
792,604 |
Total investments and cash under own management |
39,754,024 |
39,346,903 |
Funds withheld |
12,710,089 |
13,801,845 |
Contract deposits |
209,666 |
188,604 |
Total investments |
52,673,779 |
53,337,352 |
Reinsurance recoverables on unpaid claims |
1,513,226 |
1,395,281 |
Reinsurance recoverables on benefit reserve |
997,168 |
1,367,173 |
Prepaid reinsurance premium |
209,382 |
164,023 |
Reinsurance recoverables on other technical reserves |
3,044 |
8,687 |
Deferred acquisition costs |
2,017,978 |
2,094,671 |
Accounts receivable |
3,799,222 |
3,665,937 |
Goodwill |
63,809 |
60,244 |
Deferred tax assets |
357,208 |
433,500 |
Other assets |
673,994 |
680,543 |
Accrued interest and rent |
8,889 |
7,527 |
|
|
|
Total assets |
62,317,699 |
63,214,938 |
Liabilities |
|
|
in EUR thousand |
30.6.2016 |
31.12.2015 |
Loss and loss adjustment expense reserve |
26,846,594 |
26,556,388 |
Benefit reserve |
11,504,421 |
12,206,699 |
Unearned premium reserve |
3,429,786 |
3,159,363 |
Other technical provisions |
294,678 |
325,528 |
Funds withheld |
581,262 |
1,265,035 |
Contract deposits |
4,250,780 |
4,682,484 |
Reinsurance payable |
1,341,439 |
1,390,006 |
Provisions for pensions |
188,534 |
150,299 |
Taxes |
214,830 |
271,674 |
Deferred tax liabilities |
2,102,285 |
1,932,722 |
Other liabilities |
632,165 |
698,933 |
Long-term debt and subordinated capital |
1,794,559 |
1,798,337 |
Total liabilities |
53,181,333 |
54,437,468 |
Shareholders’ equity |
|
|
Common shares |
120,597 |
120,597 |
Nominal value: 120,597 Conditional capital: 60,299 |
|
|
Additional paid-in capital |
724,562 |
724,562 |
Common shares and additional paid-in capital |
845,159 |
845,159 |
Cumulative other comprehensive income |
|
|
Unrealised gains and losses on investments |
1,310,590 |
712,001 |
Cumulative foreign currency translation adjustment |
386,663 |
509,189 |
Changes from hedging instruments |
(6,315) |
(1,217) |
Other changes in cumulative other comprehensive income |
(58,155) |
(36,571) |
Total other comprehensive income |
1,632,783 |
1,183,402 |
Retained earnings |
5,943,319 |
6,039,783 |
Equity attributable to shareholders of Hannover Rück SE |
8,421,261 |
8,068,344 |
Non-controlling interests |
715,105 |
709,126 |
Total shareholders’ equity |
9,136,366 |
8,777,470 |
Total liabilities |
62,317,699 |
63,214,938 |