
Table
Pension funds. Profitt and loss account. NOK million | 2013 | 2014 |
|---|
| Earned premiums, net of reinsurance | 14 923 | 20 600 |
|---|
| Gross premiums written | 13 733 | 15 612 |
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| Reinsurers share of gross premiums writtens | -24 | -27 |
|---|
| Transfer of premiumreserve from other companies | 1 213 | 5 014 |
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| | | |
| Claims incurred, net of reinsurance | 7 549 | 7 585 |
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| Gross pensions and claims payments | 6 291 | 6 838 |
|---|
| Reinsurance share of gross claims payments | -8 | -10 |
|---|
| Other appropriations | 99 | -56 |
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| Transfers of premiumreserve etc. to other companies | 1 167 | 812 |
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| | | |
| Net change in technical provisions | 28 941 | 30 335 |
|---|
| Premium reserve | 14 307 | 18 659 |
|---|
| Other technical provisions | 726 | 2 571 |
|---|
| To/from revaluation reserve | 12 163 | 5 007 |
|---|
| Means allocated insurance contracts | 1 743 | 4 097 |
|---|
| | | |
| Other operating income (+)/costs (-) | -292 | -306 |
|---|
| Operating income from real property | 485 | 541 |
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| Other operating income | 5 | 2 |
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| Personell costs | 411 | 454 |
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| Commision submitted | 127 | 131 |
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| Operating costs from real property | 32 | 44 |
|---|
| Other operating costs | 212 | 220 |
|---|
| | | |
| Investment income (+)/ charges (-) | 7 154 | 7 331 |
|---|
| Bonds and certificates | 4 442 | 4 419 |
|---|
| Interest income other assets | 624 | 662 |
|---|
| Share dividend etc. | 2 110 | 2 275 |
|---|
| Interest charges | 22 | 25 |
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| | | |
| Gains/losses, Value (re-)adjustments on financial assetes | 16 936 | 12 111 |
|---|
| Realized gains/losses | 2 577 | 6 245 |
|---|
| Shares, participations and primary capital certificates | 3 708 | 7 032 |
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| Bonds and certificates | 641 | 993 |
|---|
| Financial derivatives | -1 769 | -1 762 |
|---|
| Land and buildings | 65 | 25 |
|---|
| Other realized gains/losses | -68 | -44 |
|---|
| Net change in value | 14 359 | 5 865 |
|---|
| Shares, participations and primary capital certificates | 14 295 | 6 344 |
|---|
| Bonds and certificates | 577 | 1 335 |
|---|
| Financial derivatives | -199 | -463 |
|---|
| Land and buildings | 48 | 103 |
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| Other value re-adjustments (+)/adjustments (-) | -362 | -1 454 |
|---|
| | | |
| Profitt/loss on ordinary activities | 2 231 | 1 816 |
|---|
| | | |
| Other results components | 6 | 2 |
|---|
| | | |
| Tax | 48 | 74 |
|---|
| | | |
| Profitt/loss | 2 177 | 1 739 |
|---|
| | | |
| Specifications | | |
|---|
| Balance on the technical account for pension funds | -123 | -117 |
|---|
| Value-adjusted profitt/loss | 16 170 | 12 223 |
|---|