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
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