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Transcription:

Annual FSA Insurance Returns for the year ended 31 December 2004

Form 2 Statement of solvency - long-term insurance business Solo solvency calculation registration GL/UK/CM Period ended Units number day month year R2 171130 GL 31 12 2004 000 As at end of this financial year As at end of the previous year Capital resources Capital resources arising within the long-term insurance fund 11 Capital resources allocated towards long-term insurance business arising outside the long-term insurance fund Capital resources available to cover long-term insurance business capital resources requirement (11+12) 12 3552 13 3552 Guarantee fund Guarantee fund requirement Excess (deficiency) of available capital resources to cover guarantee fund requirement 2087 22 1465 Minimum capital requirement (MCR) Long-term insurance capital requirement 31 Resilience capital requirement 32 Base capital resources requirement 33 2087 Minimum capital requirement Excess (deficiency) of available capital resources to cover 50% of MCR Excess (deficiency) of available capital resources to cover 75% of MCR 34 2087 35 2509 36 1987 Enhanced capital requirement With-profits insurance capital component 37 Enhanced capital requirement 38 Capital resources requirement (CRR) Capital resources requirement (greater of 34 and 38) 4087 Excess (deficiency) of available capital resources to cover longterm insurance business CRR (13-41) 42 1465 Contingent liabilities Quantifiable contingent liabilities in respect of long-term insurance business as shown in a supplementary note to Form 14 51 1

Covering Sheet to Form 2 Form 2 G M Wood Chief Executive R C Everett Director D J Belsham Director March 2005 2

Components of capital resources Form 3 (Sheet 1) Core tier one capital registration GL/UK/CM Period ended Units number day month year R3 171130 GL 31 12 2004 000 General Long-term Total as at Total as at insurance insurance the end of the end of business business this financial the previous year year 3 4 Permanent share capital 11 3000 3000 Profit and loss account and other reserves 12 552 552 Share premium account 13 Positive valuation differences 14 Fund for future appropriations Core tier one in related undertakings 15 16 Core tier one capital (sum of 11 to 16) 19 3552 3552 Tier one waivers Unpaid share capital / unpaid initial funds and calls for supplementary contributions 21 Implicit Items 22 Tier one waivers in related undertakings 23 Total tier one waivers as restricted (21+22+23) 24 Other tier one Perpetual non-cumulative preference shares as restricted Perpetual non-cumulative preference shares in related undertakings Innovative tier one capital as restricted Innovative tier one capital in related undertakings 25 26 27 28 Total tier one capital before deductions (19+24+25+26+27+28) Investments in own shares Intangible assets Amounts deducted from technical provisions for discounting Other negative valuation differences Deductions in related undertakings Deductions from tier one (32 to 36) Total tier one capital after deductions (31-37) 31 3552 3552 32 33 34 35 36 37 39 3552 3552 3

Components of capital resources Form 3 (Sheet 2) Tier two capital registration GL/UK/CM Period ended Units number day month year R3 171130 GL 31 12 2004 000 General Long-term Total as at Total as at insurance insurance the end of the end of business business this financial the previous year year 3 4 Implicit items, (tier two waivers and amounts excluded from line 22) Perpetual non-cumulative preference shares excluded from line 25 Innovative tier one capital excluded from line 27 Tier two waivers, innovative tier one capital and perpetual non-cumulative preference shares treated as tier two capital (41 to 43) Perpetual cumulative preference shares Perpetual subordinated debt and securities 41 42 43 44 45 46 Upper tier two capital in related undertakings 47 Upper tier two capital (44 to 47) 49 Fixed term preference shares 51 Other tier two instruments 52 Lower tier two capital in related undertakings 53 Lower tier two capital (51+52+53) 59 Total tier two capital before restrictions (49+59) 61 Excess tier two capital 62 Further excess lower tier two capital Total tier two capital after restrictions, before deductions (61-62-63) 63 69 4

Components of capital resources Form 3 (Sheet 3) Total capital resources registration GL/UK/CM Period ended Units number day month year R3 171130 GL 31 12 2004 000 General Long-term Total as at Total as at insurance insurance the end of the end of business business this financial the previous year year 3 4 Positive adjustments for regulated non-insurance related undertakings Total capital resources before deductions (39+69+71) Inadmissible assets other than intangibles and own shares Assets in excess of market risk and counterparty limits Deductions for related ancilliary services undertakings Deductions for regulated non-insurance related undertakings Total deductions of ineligible surplus Total capital resources after deductions (72-73-74-75-76-77) 71 72 3552 3552 73 74 75 76 77 79 3552 3552 Available capital resources for PRU tests Available capital resources for Guarantee Fund requirement Available capital resources for 50% MCR requirement Available capital resources for 75% MCR requirement 81 3552 3552 82 3552 3552 83 3552 3552 Financial engineering adjustments Implicit items Financial reinsurance - ceded Financial reinsurance - accepted Outstanding contingent loans Any other charges on future profits Sum of financial engineering adjustments (91+92-93+94+95) 91 92 93 94 95 96 5

Analysis of admissible assets Form 13 (Sheet 1) Category of assets Total other than long term insurance business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 1 Investments As at the end of this financial year As at the end of the previous year Land and buildings 11 UK insurance business Shares 21 Debt securities issued by, and loans to, 22 Investments in group undertakings and participating interests Other insurance Non-insurance Shares 23 Debt securities issued by, and loans to, 24 Shares 25 Debt securities issued by, and loans to, 26 Shares 27 Debt securities issued by, and loans to, group Other group undertakings undertakings and 28 participating interests Participating interests 29 Debt securities issued by, and loans to, undertakings in which the company has a participating interest 30 Total sheet 1 (11 to 30) 39 6

Analysis of admissible assets Form 13 (Sheet 2) Category of assets Total other than long term insurance business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 1 As at the end of As at the end of Investments (continued) this financial the previous Deposits with ceding undertakings year year Assets held to cover linked liabilities Equity shares 41 Other shares and other variable yield securities 42 Holdings in collective investment schemes 43 Rights under derivative contracts 44 Debt securities and other fixed income securities Fixed interest Variable interest Approved securities 45 2123 Other 46 Approved securities 47 Other 48 Other financial investments Participation in investment pools 49 Loans secured by mortgages Loans to public or local authorities and nationalised industries or undertakings 50 51 Other loans Loans secured by policies of insurance issued by the company 52 Other 53 Deposits with Withdrawal subject to a time restriction approved credit 54 2008 69867 of one month or less institutions and approved financial Withdrawal subject to a time restriction 55 institutions of more than one month Other 56 Deposits with ceding undertakings 57 Assets held to match linked liabilities Reinsurers' share of technical provisions Index linked 58 Property linked 59 Provision for unearned premiums 60 Claims outstanding 61 Provision for unexpired risks 62 Other 63 Total sheet 2 (41 to 63) 69 4131 69867 7

Analysis of admissible assets Form 13 (Sheet 3) Category of assets Total other than long term insurance business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 1 As at the end of As at the end of Debtors this financial the previous Other assets year year Debtors arising out of direct Policyholders 71 insurance operations Intermediaries 72 Salvage and subrogation recoveries 73 Debtors arising out of reinsurance operations Due from ceding insurers and intermediaries under reinsurance business accepted Due from reinsurers and intermediaries under reinsurance contracts ceded Due from Due in 12 months or less after the end of the financial year Other debtors Due more than 12 months after the end of the financial year 77 Due in 12 months or less after the end of the financial year Other 78 59 4 Due more than 12 months after the end of the financial year 79 Tangible assets 80 Deposits not subject to time restriction on withdrawal, with approved credit Cash at bank and institutions and approved financial institutions and local authorities 81 55 1516 in hand Cash in hand 82 Other assets (particulars to be specified by way of supplementary note) 83 74 75 76 Prepayments and accrued income Accrued interest and rent 84 2 Deferred acquisition costs 85 Other prepayments and accrued income 86 Deductions from the aggregate value of assets 87 Total sheet 3 (71 to 86 less 87) 88 116 1520 Grand total of admissible assets after deduction of market risk and counterparty limits (39+69+88) 89 4247 71387 Reconciliation to asset values determined in accordance with the insurance accounts rules Total admissible assets after deduction of market risk and counterparty limits (as per line 89 above) 91 4247 71387 Assets in excess of market and counterparty limits Capital resources requirement deduction for subsidiary undertakings which are insurance undertakings 93 Other differences in the valuation of assets (other than for assets not valued above) 94 92 Other inadmissible assets 95 Total assets determined in accordance with the insurance accounts rules (91-95) 99 4247 71387 Amounts included in line 89 attributable to debts due from related insurers, other than those under contracts of insurance or reinsurance 100 8

Analysis of admissible assets Form 13 (Sheet 1) Category of assets Total long term business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 10 Investments As at the end of this financial year As at the end of the previous year Land and buildings 11 UK insurance business Shares 21 Debt securities issued by, and loans to, 22 Investments in group undertakings and participating interests Other insurance Non-insurance Shares 23 Debt securities issued by, and loans to, 24 Shares 25 Debt securities issued by, and loans to, 26 Shares 27 Debt securities issued by, and loans to, group Other group undertakings undertakings and 28 participating interests Participating interests 29 Debt securities issued by, and loans to, undertakings in which the company has a participating interest 30 Total sheet 1 (11 to 30) 39 9

Analysis of admissible assets Form 13 (Sheet 2) Category of assets Total long term business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 10 As at the end of As at the end of Investments (continued) this financial the previous Deposits with ceding undertakings year year Assets held to cover linked liabilities Equity shares 41 Other shares and other variable yield securities 42 Holdings in collective investment schemes 43 Rights under derivative contracts 44 Debt securities and other fixed income securities Fixed interest Variable interest Approved securities 45 Other 46 Approved securities 47 Other 48 Other financial investments Participation in investment pools 49 Loans secured by mortgages Loans to public or local authorities and nationalised industries or undertakings 50 51 Other loans Loans secured by policies of insurance issued by the company 52 Other 53 Deposits with Withdrawal subject to a time restriction approved credit of one month or less 54 institutions and approved financial Withdrawal subject to a time restriction 55 institutions of more than one month Other 56 Deposits with ceding undertakings 57 Assets held to match linked liabilities Reinsurers' share of technical provisions Index linked 58 Property linked 59 Provision for unearned premiums 60 Claims outstanding 61 Provision for unexpired risks 62 Other 63 Total sheet 2 (41 to 63) 69 10

Analysis of admissible assets Form 13 (Sheet 3) Category of assets Total long term business assets Category registration GL/UK/CM Period ended Units of number day month year assets R13 171130 GL 31 12 2004 000 10 As at the end of As at the end of Debtors this financial the previous Other assets year year Debtors arising out of direct Policyholders 71 insurance operations Intermediaries 72 Salvage and subrogation recoveries 73 Debtors arising out of reinsurance operations Due from ceding insurers and intermediaries under reinsurance business accepted Due from reinsurers and intermediaries under reinsurance contracts ceded Due from Due in 12 months or less after the end of the financial year Other debtors Due more than 12 months after the end of the financial year 77 Other Due in 12 months or less after the end of the financial year 78 Due more than 12 months after the end of the financial year Tangible assets 80 Deposits not subject to time restriction on withdrawal, with approved credit Cash at bank and institutions and approved financial institutions and local authorities 81 in hand Cash in hand 82 Other assets (particulars to be specified by way of supplementary note) 83 74 75 76 79 Prepayments and accrued income Accrued interest and rent 84 Deferred acquisition costs 85 Other prepayments and accrued income 86 Deductions from the aggregate value of assets Total sheet 3 (71 to 86 less 87) 88 Grand total of admissible assets after deduction of market risk and counterparty limits (39+69+88) 89 Reconciliation to asset values determined in accordance with the insurance accounts rules Total admissible assets after deduction of market risk and counterparty limits (as per line 89 above) 91 Assets in excess of market and counterparty limits Capital resources requirement deduction for subsidiary undertakings which are insurance undertakings 93 Other differences in the valuation of assets (other than for assets not valued above) 94 Other inadmissible assets Total assets determined in accordance with the insurance accounts rules (91-95) 99 87 92 95 Amounts included in line 89 attributable to debts due from related insurers, other than those under contracts of insurance or reinsurance 100 11

Form 15 Liabilities (other than long term insurance business) registration GL/UK/CM Period ended Units number day month year R15 171130 GL 31 12 2004 000 Provision for unearned premiums 11 As at the end of As at the end of this financial the previous year year Claims outstanding 12 Technical provisions (gross amount) Provision for unexpired risks 13 Credit business 14 Equalisation provisions Other than credit business 15 Other 16 Total (11 to 16) 19 Provisions for other risks and charges Taxation 21 Other 22 Deposits received from reinsurers 31 Arising out of insurance operations Direct insurance business 41 Reinsurance accepted 42 Reinsurance ceded 43 Creditors Debenture loans Secured 44 Unsecured 45 Amounts owed to credit institutions 46 Taxation 47 462 467 Other creditors Recommended dividend 48 Other 49 233 Accruals and deferred income 51 Total (19 to 51) 59 695 467 Provision for "reasonably foreseeable adverse variations" 61 Cumulative preference share capital 62 Subordinated loan capital 63 Total (59 to 63) 69 695 467 Amounts included in line 69 attributable to liabilities to related insurers, other than those under contracts of insurance or reinsurance 71 12

Form 16 Profit and loss account (non-technical account) registration GL/UK/CM Period ended Units number day month year R16 171130 GL 31 12 2004 000 This financial Previous Source year year Form Line Column Transfer (to)/from the From Form 20 10 59 general insurance business technical account Equalisation provisions 12 Transfer from the long term insurance business revenue account 13 40 26 Income 14 3038 2499 Investment income Value re-adjustments on investments Gains on the realisation of investments 15 16 Investment management charges, including interest 17 29 5 Loss on the realisation of investments Investment Value re-adjustments on charges investments 18 19 Allocated investment return transferred to the general insurance business technical account 20 20 51 Other income and charges (particulars to be specified by way of supplementary note) 21 Profit or loss on ordinary activities before tax (11+12+13+14+15+16-17-18-19-20+21) 29 3009 2494 Tax on profit or loss on ordinary activities 31 903 748 Profit or loss on ordinary activities after tax (29-31) 39 2106 1746 Extraordinary profit or loss (particulars to be specified by way of supplementary note) 41 Tax on extraordinary profit or loss 42 Other taxes not shown under the preceding items 43 Profit or loss for the financial year (39+41-(42+43)) 49 2106 1746 Dividends (paid and proposed) 51 Profit or loss retained for the financial year (49-51) 59 2106 1746 13