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Overview
1 of 39 General Information
2 of 39 Summary of Significant Accounting Policies
3 of 39 Critical Accounting Estimates and Judgements in Applying Accounting Policies
4 of 39 Segment Information
5 of 39 Risk Management Policies and Procedures
6 of 39 Earnings per Share
7 of 39 Premiums, Policy Fees and Deposits Received
8 of 39 Details of Certain Items in the Consolidated Statement of Income
9 of 39 Insurance and Other Receivables and Payables
10 of 39 Derivatives
11 of 39 Financial Assets and Liabilities at Fair Value through Profit or Loss
12 of 39 Financial Assets Available for Sale
13 of 39 Loans
14 of 39 Financial Assets Held to Maturity
15 of 39 Investment Property
16 of 39 Investments in Associates
17 of 39 Property and Equipment
18 of 39 Intangible Assets including Intangible Insurance Assets
19 of 39 Other Assets and Liabilities
20 of 39 Investment Contracts
21 of 39 Deposits
22 of 39 Borrowings
23 of 39 Insurance Liabilities and Reinsurance Assets
24 of 39 Employee Benefits
25 of 39 Income Taxes
26 of 39 Provisions
27 of 39 Equity
28 of 39 Capital Management
29 of 39 Acquisitions and Disposals of Subsidiaries
30 of 39 Assets Held for Sale and Discontinued Operations
31 of 39 Related Party Transactions
32 of 39 Assets under Management
33 of 39 Fair Value of Financial Instruments Not at Fair Value in the Balance Sheet
34 of 39 Guarantees and Commitments
35 of 39 Collateral
36 of 39 Future Minimum Lease Payments under Non-Cancellable Operating Leases – Lessor
37 of 39 Reclassification of Financial Assets Available for Sale to Loans
38 of 39 Events after the Balance Sheet Date
39 of 39 Significant Subsidiaries and Associates
1 General Information
2 Summary of Significant Accounting Policies
3 Critical Accounting Estimates and Judgements in Applying Accounting Policies
4 Segment Information
5 Risk Management Policies and Procedures
6 Earnings per Share
7 Premiums, Policy Fees and Deposits Received
8 Details of Certain Items in the Consolidated Statement of Income
9 Insurance and Other Receivables and Payables
10 Derivatives
11 Financial Assets and Liabilities at Fair Value through Profit or Loss
12 Financial Assets Available for Sale
13 Loans
14 Financial Assets Held to Maturity
15 Investment Property
16 Investments in Associates
17 Property and Equipment
18 Intangible Assets including Intangible Insurance Assets
19 Other Assets and Liabilities
20 Investment Contracts
21 Deposits
22 Borrowings
23 Insurance Liabilities and Reinsurance Assets
24 Employee Benefits
25 Income Taxes
26 Provisions
27 Equity
28 Capital Management
29 Acquisitions and Disposals of Subsidiaries
30 Assets Held for Sale and Discontinued Operations
31 Related Party Transactions
32 Assets under Management
33 Fair Value of Financial Instruments Not at Fair Value in the Balance Sheet
34 Guarantees and Commitments
35 Collateral
36 Future Minimum Lease Payments under Non-Cancellable Operating Leases – Lessor
37 Reclassification of Financial Assets Available for Sale to Loans
38 Events after the Balance Sheet Date
39 Significant Subsidiaries and Associates