Corporate Bond Portfolio and Investment Analysis slide image

Corporate Bond Portfolio and Investment Analysis

1H 2023 VIF Movement +2.1 (0.0) 35.1 (0.1) VIF Movement ($b) 37.1 AIA (0.6) (0.6) (0.6) 35.3 445 45 VIF End of 2022 Expected Return Contribution to VIF Operating Variances from VONB VIF Before Non-operating Variances Investment Return Variances Other Non-operating Variances Exchange Rates VIF End of 1H23
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