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Life and non-life insurance companies, 2. quarter 2006
1 Life insurance companies. Profit and loss account. NOK Million
30.06.2005 30.09.2005* 31.12.2005* 31.03.2006* 30.06.2006*
Earned premiums, net of reinsurance 34 467 51 723 67 895 24 066 36 619
Gross premiums written 29 285 45 338 60 909 18 710 29 767
- Reinsurers share of gross premiums written -199 -113 -442 -65 -128
- Reinsurers share of investment income . . . . .
Transfer of premiumreserve from other companies 5 382 6 497 7 428 5 420 6 979
     
Claims incurred, net of reinsurance 17 827 26 109 35 407 12 944 24 434
Gross claim payment 13 488 20 464 28 773 8 151 18 428
Reinsurers share of gross claim payments -102 -94 -383 -14 4
Net change in the provision for outstanding claims 55 26 83 52 123
Transfer of premiumreserve etc. to other companies 4 386 5 714 6 934 4 754 5 879
     
Net change in technical provisions 29 005 44 559 60 806 19 622 24 558
Premiumreserve 22 111 33 242 41 879 13 107 17 013
Not allocated technical provisions 4 314 5 589 5 638 2 913 4 845
Other technical provisions 2 580 5 728 13 289 3 602 2 700
     
Investment income (+)/charges (-) 9 919 14 641 19 294 5 325 10 820
Interest income 8 326 13 090 17 393 4 627 9 016
Bonds and certificates 7 593 11 390 15 347 3 989 7 969
Other assets 732 1 700 2 046 638 1 048
Interest charges 212 667 955 62 354
Share dividend etc. 1 805 2 218 2 856 760 2 157
     
Gains/losses, value (re-)adjustments on financial assets 7 331 17 325 24 887 10 512 1 608
Gains (+)/losses (-) 3 310 6 829 9 745 1 989 6 350
Shares, participations and primary capital certificates 2 448 5 680 8 857 4 420 5 852
Bonds and certificates 502 826 845 -78 -535
Currency and financial derivatives 344 311 -200 -2 365 1 008
Land and buildings 16 12 243 11 25
Unrealized gains (+)/losses (-) 4 062 10 573 15 244 8 484 -4 698
Shares, participations and primary capital certificates 4 407 11 805 14 069 7 799 -2 101
Bonds and certificates 1 059 -156 -1 428 -1 737 -3 008
Currency and financial derivatives -1 405 -1 151 354 2 137 -467
Land and buildings . 75 2 248 285 878
Value re-adjustments (+)/adjustments (-) -41 -77 -102 39 -44
     
Other operating income (+)/expenses (-) -548 -937 -2 094 -502 -1 016
Personnel costs 942 1 378 2 277 594 1 165
Commisions received (+)/submitted (-) -521 -786 -1 119 -314 -611
Operating income (+)/costs (-) from real property 1 484 2 242 2 976 774 1 547
Depreciations of non-financial assets 76 106 151 32 61
Value adjustments (-)/re-adjustments (+) of non-financial assets . . . . .
Other operating income (+)/expenses (-) -493 -909 -1 523 -336 -726
     
To/from revaluation reserve 2 356 6 918 8 204 5 265 -5 214
     
Profit/loss on ordinary activities 1 981 5 165 5 565 1 569 4 253
     
Extraordinary income (+)/charges (-) . . 17 . .
     
Tax 18 37 -541 -7 -56
     
Profit/loss 1 962 5 128 6 122 1 575 4 309
     
Spesifications   
Balance on the technical account for life insurance 1 868 5 122 5 515 1 495 4 236
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