34. Net investment income


By segment

Property and casualty

Health

Life

Group

Figures in € thousand

2011

2010

2011

2010

2011

2010

2011

2010

I.

Properties held as investments

7,761

3,932

3,639

6,065

–8,402

6,006

2,998

16,003

II.

Shares in associated companies

–15,897

984

11,619

12,726

6,212

8,302

1,934

22,012

III.

Variable-yield securities

4,097

33,699

–15,193

10,018

9,177

102,707

–1,919

146,424

 

1.

Available for sale

5,918

29,998

–12,000

5,618

81

37,211

–6,000

72,827

 

2.

At fair value through profit or loss

–1,822

3,701

–3,193

4,400

9,096

65,496

4,081

73,597

IV.

Fixed-interest securities

38,643

52,262

–8,328

94,424

195,916

583,085

226,231

729,771

 

1.

Held to maturity

1,076

1,392

2,218

2,870

14,044

18,169

17,338

22,431

 

2.

Available for sale

37,608

50,210

–11,710

89,600

165,096

541,361

190,993

681,170

 

3.

At fair value through profit or loss

–41

660

1,164

1,955

16,777

23,555

17,900

26,170

V.

Loans and other investments

30,022

25,946

29,331

24,948

79,778

75,286

139,131

126,181

 

1.

Loans

16,473

16,372

25,115

23,892

37,918

36,054

79,506

76,318

 

2.

Other investments

13,548

9,575

4,216

1,056

41,861

39,232

59,625

49,863

VI.

Derivative financial instruments (held for trading)

–8,208

–8,247

–9,827

–13,333

–80,009

–91,421

–98,044

–113,001

VII.

Expenditure for asset management, interest charges and other expenses

–5,812

–17,252

–7,182

–7,327

–30,761

–30,494

–43,755

–55,073

Total (fully consolidated values)

50,606

91,323

4,058

127,521

171,912

653,472

226,576

872,316

Stage 3 valuations (hierarchy for instruments, which are recognized at the reconciled current value) include profit in the amount of € 8,312 thousand as income from available-for-sale fixed-income securities and losses in the amount of € 1,079 thousand as income from fixed-income securities valuated at current value in the income statement.

By income type

Ordinary income

Write-ups and unrealised capital gains

Realised capital gains

Write-offs and unrealised capital losses

Realised capital losses

Group

of which value adjustment

Figures in € thousand

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

I.

Properties held as investments

64,863

57,338

0

0

648

378

–62,471

–40,493

–41

–1,219

2,998

16,003

–19,158

–5,704

II.

Shares in associated companies

13,522

19,785

0

0

0

2,234

–11,588

–7

0

0

1,934

22,012

0

0

III.

Variable-yield securities

48,276

44,316

87,229

131,676

46,923

90,282

–158,290

–110,410

–26,056

–9,440

–1,919

146,424

–52,561

–29,680

 

1.

Available for sale

37,324

34,070

18,230

27,730

34,253

70,017

–73,606

–53,029

–22,201

–5,961

–6,000

72,827

–52,561

–29,680

 

2.

At fair value through profit or loss

10,952

10,246

68,999

103,946

12,670

20,266

–84,684

–57,381

–3,855

–3,479

4,081

73,597

0

0

IV.

Fixed-interest securities

532,727

504,341

60,218

175,204

112,335

177,871

–455,852

–96,908

–23,196

–30,736

226,231

729,771

–389,466

–8,283

 

1.

Held to maturity

17,338

22,431

0

0

0

0

0

0

0

0

17,338

22,431

0

0

 

2.

Available for sale

496,897

464,482

25,987

154,207

111,411

176,153

–420,106

–84,027

–23,196

–29,645

190,993

681,170

–389,466

–8,283

 

3.

At fair value through profit or loss

18,491

17,428

34,231

20,997

924

1,718

–35,746

–12,882

0

–1,091

17,900

26,170

0

0

V.

Loans and other investments

150,131

152,744

2,761

3,344

4,642

14,799

–6,201

–23,117

–12,201

–21,590

139,131

126,181

–5,288

–20,302

 

1.

Loans

91,603

102,853

750

557

4,642

14,799

–5,288

–20,302

–12,201

–21,589

79,506

76,318

–5,288

–20,302

 

2.

Other investments

58,528

49,890

2,010

2,788

0

0

–913

–2,815

0

0

59,625

49,863

0

0

VI.

Derivative financial instruments (held for trading)

–16,794

–12,766

82,092

63,267

40,402

48,680

–80,042

–37,218

–123,702

–174,964

–98,044

–113,001

0

0

VII.

Expenditure for asset management, interest charges and other expenses

–43,755

–55,073

0

0

0

0

0

0

0

0

–43,755

–55,073

0

0

Total (fully consolidated values)

748,968

710,684

232,300

373,491

204,949

334,244

–774,445

–308,154

–185,197

–237,949

226,576

872,316

–466,473

–63,969

The updating of the value adjustment concerns both appreciation and depreciation of financial assets, excluding assets held for trading and financial assets at fair value through profit or loss. The interest income from impaired portfolio items amounts to € 25,994 thousand (2010: € 25,173 thousand). The net investment income of € 226,576 thousand includes realised and unrealised profits and losses amounting to €–522,392 thousand, which include currency losses of € 28,016 thousand. In addition, currency effects amounting to € 1,063 thousand were recorded directly as equity. The effects largely resulted from investments in US Dollars.

The income from properties held as financial investments include rent revenue in the amount of € 96,634 thousand (2010: € 86,526 thousand) and direct operational expenses in the amount of € 31,772 thousand (2010: € 29,188 thousand).

Of which securities, available for sale type of investment

Ordinary income

Write-ups and unrealised capital gains

Realised capital gains

Write-offs and unrealised capital losses

Realised capital losses

Group

of which value adjustment

Figures in € thousand

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

2011

2010

III.

Variable-yield securities

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

1.

Available for sale

37,324

34,070

18,230

27,730

34,253

70,017

–73,606

–53,029

–22,201

–5,961

–6,000

72,827

–52,561

–29,680

 

 

 

Shares in affiliated companies

–1,357

62

0

4

1,103

1,279

–205

–657

–59

–422

–518

267

0

0

 

 

 

Shares

21,301

16,615

401

6,473

8,681

44,616

–43,019

–31,835

–9,866

–5,922

–22,501

29,946

–41,535

–26,033

 

 

 

Equity funds

7,257

2,520

170

3,942

699

11,522

–4,295

–438

–12,153

403

–8,322

17,948

–4,089

–259

 

 

 

Debenture bonds not capital-guaranteed

4,726

7,652

17,642

17,311

1,611

183

–20,122

–19,855

–110

–20

3,747

5,271

–2,523

–3,145

 

 

 

Other variable-yield securities

1,533

2,166

0

0

0

1,231

–1,950

0

0

0

–417

3,397

–1,950

0

 

 

 

Participating interests and other investments

3,863

5,055

17

0

22,160

11,185

–4,015

–243

–13

0

22,012

15,997

–2,464

–243

IV.

Fixed-interest securities

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

2.

Available for sale

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Fixed-interest securities

496,897

464,482

25,987

154,207

111,411

176,153

–420,106

–84,027

–23,196

–29,645

190,993

681,170

–389,466

–8,283

© 2012 BY UNIQA GROUP AUSTRIA