Corporate Bond Portfolio and Investment Analysis slide image

Corporate Bond Portfolio and Investment Analysis

High-Quality, Sustainable Growth Portfolio High-Quality Sources of Earnings Return on Net Worth (1) Geographically Diversified Portfolio Other Markets Note: 73% 11% 15% Malaysia Insurance Services 5% Spread 12% Singapore 10% 33% Hong Kong 1H23 OPBT 1H23 OPAT Non-par 58% and Fee-based 15% 15% Thailand Participating 26% Mainland China Long-Term Sustainable Business 1% Single Premiums (10%) First Year Premiums 17% 99% Regular Premiums 1H23 TWPI 82% Renewal Premiums (1) Net of finance costs, non-attributable expenses under IFRS 17 and non-insurance expenses excluding the investment contract related expenses 9.29 Compounding Growth OPAT Per Share (US cents) >3x ALA 28.19 1H11 1H12 1H13 1H14 1H15 1H16 1H17 1H18 1H19 1H20 1H21 1H22 1H23 IFRS 17 26
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