Our Key figures

Income statement  

2023

 

2022

adjusted

 

Calculation differences may arise when rounded amounts and percentages are summed automatically.

1 Gross written premiums are not part of IFRS 17/9 reporting

2 The calculation of this figure considers the interest expenses for hybrid capital.

Gross written premiums1 EUR million 13,784.0 12,559.2  
Insurance service revenue EUR million 10,921.8 9,737.6  
Total capital investment result EUR million 284.3 -12.2  
Result before taxes EUR million 772.7 585.7  
Net result of the period after taxes and non-controlling interests EUR million 559.0 472.3  
Earnings per share2 EUR 4.31 3.63  
Net Combined Ratio (P&C) % 92.6 92.8  
Balance sheet        
Total capital investment portfolio EUR million 42,586.1 41,062.2  
Insurance contracts liabilities issued EUR million 37,804.1 36,370.4  
Consolidated shareholders' equity (incl. non-controlling interests) EUR million 6,029.7 5,713.9  
Contractual Service Margin (CSM) EUR million 5,797.2 5,838.1  
Total assets EUR million 48,753.8 47,217.7  
Operating Return on Equity (Operating RoE) % 15.1 11.6  
Solvency Ratio % 269 280  

 

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