PRESENTATION OF FORCAST TO THE NIGERIAN EXCHANGE LIMITED

COMPANY-Regency Alliance Insurance plc

PERIOD: 4th Quarter 2022

Forecast Profit and Loss Information

Gross Premium Earned

Net Premium

Net Claims Incurred

Investment/Other income

Net Operating Income

Commission Incurred

Underwriting /Management Expenses

Profit Before Taxation

Forecast Taxation

Profit After Taxation

Cash flow Information

Operating Cashflow before Working Capital Changes Net Cash Generated from Operating Activities

Net Cash Flow from Financing Activities Net Cash Flow from Investing Activities

Net Decrease in Net Cash and Cash Equivalents Cash/Bank Balances at the Beginning of period Cash/Bank Balances at the End of the period

5,283,311,478

3,381,319,346

1,162,328,525

359,053,848

2,578,044,669

583,277,587

1,183,461,771

811,305,311

64,904,425

746,400,886

321,201,039

428,268,052

-

(259,725,354)

168,542,697

376,520,523

545,063,220

Prepared by

AINA SUNDAY

Approved by

OYADIRAN KEHINDE

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Disclaimer

Regal Insurance plc published this content on 14 September 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 September 2022 15:49:02 UTC.