Corporate Bond Portfolio and Investment Analysis slide image

Corporate Bond Portfolio and Investment Analysis

Operating Profit After Tax Up 4% Per Share 1H23 OPAT Composition ($m) YoY Change in CER ($m) AIA Operating Margin OPAT Per Share (US cents) + 1,721 (413) 28.19 (226) 17.0% (616) $2.8b Insurance Service Result 27.15 +4% 3,272 + 119 2,618 + 69 CSM Release Operating Variances (1) Risk Adjustment Release and Other Net Investment Result After Other Revenue and Expenses (3) Finance Costs Tax OPAT 1H22 1H23 Expenses (2) +113 (90) (28) +144 +59 (50) (142) +6 Notes: OPAT per share comparative is shown on a constant exchange rate basis (1) Includes claims, expenses and others but excludes persistency (2) Net of investment management expenses of $97m (3) Net of non-attributable expenses under IFRS 17 of $438m and non-insurance expenses of $192m 25
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