Zurich Insurance Group/2025/FY/Financial supplement

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Zurich 2025 FY financial supplement.

Document info
OrganizationZurich Insurance Group
Year2025
PeriodFY
Period labelFY25
Document typeFinancial supplement
LanguageEnglish
SourceOriginal URL
Archive.md file

BOP by Business

in USD millions (footnote: Business operating profit by business.)
USD million Property & Casualty Life Farmers Group Functions and Operations Non-Core Businesses Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Insurance revenue 21,446 23,346 44,792 23,014 25,220 48,234 5,797 5,903 11,700 5,775 6,548 12,323 1,456 1,485 2,941 1,112 1,134 2,245 0 0 0 0 0 0 45 52 97 79 92 171 -8 -14 -22 -11 -16 -27 28,736 30,772 59,507 29,969 32,977 62,945
Insurance service expense -17,830 -20,649 -38,479 -18,816 -21,826 -40,642 -4,541 -4,590 -9,130 -4,497 -5,167 -9,663 -1,305 -1,220 -2,525 -897 -869 -1,766 -0 0 0 -0 -0 -0 -70 -269 -338 -211 -132 -343 5 11 16 19 15 34 -23,740 -26,716 -50,456 -24,402 -27,980 -52,382
Net expenses from reinsurance contracts held -1,753 -1,059 -2,812 -1,972 -1,075 -3,047 -85 -76 -161 -93 -79 -171 -64 -145 -209 -108 -103 -211 0 0 0 0 0 0 31 114 144 132 7 140 3 3 7 -8 1 -7 -1,867 -1,163 -3,031 -2,048 -1,248 -3,296
Insurance service result 1,863 1,637 3,500 2,227 2,318 4,545 1,172 1,237 2,409 1,186 1,302 2,488 88 120 208 106 161 268 -0 0 0 -0 -0 -0 6 -103 -97 0 -33 -33 0 0 0 0 0 0 3,128 2,892 6,020 3,519 3,749 7,268
Net investment income on Group investments 1,233 1,270 2,503 1,276 1,359 2,635 1,521 1,471 2,992 1,375 1,504 2,879 23 23 46 25 24 49 128 111 238 109 106 215 68 80 148 58 54 113 -111 -86 -197 -74 -74 -148 2,862 2,868 5,730 2,768 2,974 5,742
Net capital gains/(losses) on Group investments 152 117 269 36 175 211 -48 -73 -121 -140 5 -135 -3 -0 -4 0 0 0 74 82 156 87 53 141 -53 -6 -60 33 -2 31 0 0 0 0 0 0 122 120 241 16 231 247
Net investment result on Group investments 1,386 1,387 2,772 1,312 1,534 2,846 1,473 1,398 2,871 1,235 1,509 2,744 20 23 43 25 24 49 202 193 394 196 160 356 15 74 88 91 53 144 -111 -86 -197 -74 -74 -148 2,984 2,988 5,972 2,784 3,205 5,990
Net investment income on unit-linked investments 0 0 0 0 0 0 641 619 1,260 640 633 1,274 19 46 64 49 79 128 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 660 665 1,325 690 712 1,402
Change in liabilities for investment contracts and other funds 0 0 0 0 0 0 -444 -398 -842 -463 -416 -879 -1 -1 -2 -1 -1 -1 0 0 0 0 0 0 -4 -4 -7 -3 -3 -7 0 0 0 0 0 0 -448 -403 -851 -467 -420 -887
Re-/Insurance finance income/(expenses) -588 -645 -1,233 -659 -679 -1,338 -1,380 -1,305 -2,685 -1,181 -1,302 -2,483 -9 -38 -47 -50 -80 -130 0 0 0 0 0 0 -10 -26 -36 -75 -64 -139 0 -0 0 -0 -0 -0 -1,988 -2,015 -4,002 -1,965 -2,125 -4,090
Net investment result 797 742 1,539 653 855 1,508 290 314 604 231 424 656 29 29 58 23 22 45 202 193 394 196 160 356 1 44 45 13 -15 -2 -111 -86 -197 -74 -74 -148 1,208 1,235 2,443 1,043 1,372 2,414
Fee income 243 240 483 267 263 530 460 491 951 508 597 1,105 2,266 2,311 4,577 2,273 2,464 4,737 0 -1 -1 0 0 0 0 0 0 0 0 0 0 -0 0 0 -0 0 2,969 3,042 6,011 3,048 3,324 6,373
Fee business expenses -186 -200 -385 -227 -221 -448 -326 -320 -646 -353 -389 -742 -1,250 -1,285 -2,535 -1,229 -1,401 -2,631 -0 -0 -0 -0 -0 -0 -0 -0 -0 0 0 0 -4 -5 -9 -5 -4 -9 -1,766 -1,809 -3,575 -1,814 -2,016 -3,830
Fee result 57 40 98 40 43 83 134 172 306 155 207 363 1,016 1,026 2,042 1,044 1,063 2,106 -0 -1 -1 -0 -0 -0 0 0 0 0 0 0 -4 -5 -9 -5 -4 -9 1,203 1,232 2,436 1,234 1,309 2,543
Other revenues 206 255 461 201 203 404 159 100 259 79 77 156 29 38 67 24 37 61 128 123 251 96 90 185 12 12 24 22 14 36 -335 -368 -703 -285 -263 -548 198 160 358 136 159 294
Interest expense on debt -42 -38 -80 -35 -35 -70 -31 -22 -53 -10 -22 -33 -7 -0 -7 -0 -0 -0 -371 -365 -736 -320 -355 -674 -32 -30 -63 -20 -6 -26 258 241 499 174 169 343 -225 -215 -440 -211 -249 -460
Other expenses -710 -762 -1,471 -683 -846 -1,528 -333 -368 -701 -363 -494 -857 -75 -77 -152 -83 -105 -188 -369 -480 -850 -431 -410 -841 -27 -74 -101 3 -19 -16 193 218 411 191 171 362 -1,322 -1,542 -2,864 -1,366 -1,703 -3,069
Restructuring costs and other items not relevant for BOP 126 186 311 104 243 347 26 18 44 64 136 200 35 35 70 41 55 96 53 18 71 61 13 74 0 87 87 -8 1 -7 0 0 0 0 0 0 240 344 584 263 447 710
Other result -420 -359 -779 -413 -435 -848 -179 -272 -451 -230 -303 -534 -17 -4 -22 -19 -13 -32 -559 -704 -1,264 -593 -662 -1,255 -47 -5 -52 -3 -10 -13 115 91 206 79 78 158 -1,108 -1,253 -2,362 -1,179 -1,346 -2,525
Income tax (expense)/benefit attributable to policyholders (BOP relevant) -2 -3 -5 -0 -2 -2 -130 -32 -163 -77 -141 -218 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -132 -35 -168 -78 -143 -221
Business operating profit before non-controlling interests 2,296 2,058 4,353 2,507 2,779 5,286 1,287 1,418 2,705 1,265 1,490 2,754 1,115 1,171 2,286 1,154 1,233 2,387 -358 -512 -870 -397 -503 -900 -40 -64 -104 10 -59 -48 0 0 0 0 0 0 4,299 4,071 8,370 4,539 4,940 9,479
Non-controlling interest 71 78 149 78 79 157 239 231 470 234 232 466 0 0 0 0 0 0 -0 -0 -0 -0 -0 -0 0 0 0 0 0 0 0 0 0 0 0 0 311 308 619 312 311 623
Business operating profit 2,224 1,980 4,204 2,429 2,700 5,129 1,048 1,187 2,235 1,031 1,258 2,288 1,115 1,171 2,286 1,154 1,233 2,387 -358 -512 -870 -397 -502 -900 -40 -64 -104 10 -59 -48 0 0 0 0 0 0 3,988 3,763 7,751 4,227 4,629 8,856

BOP to NIAS by Business

in USD millions (footnote: Reconciliation of BOP to net income after income taxes.) (footnote: Hide.) (footnote: 1.) (footnote: Includes change in fair value of underlying investment, the impact of change in discount rates and risk mitigation arising from derivatives.)
USD million Property & Casualty Life Farmers Group Functions and Operations Non-Core Businesses Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Business operating profit 2,224 1,980 4,204 2,429 2,700 5,129 1,048 1,187 2,235 1,031 1,258 2,288 1,115 1,171 2,286 1,154 1,233 2,387 -358 -512 -870 -397 -502 -900 -40 -64 -104 10 -59 -48 0 0 0 0 0 0 3,988 3,763 7,751 4,227 4,629 8,856
Revenues/(expenses) not relevant for BOP:
Net capital gains/(losses) on Group investments 414 153 567 136 915 1,051 32 293 325 115 401 516 -2 -0 -2 1 0 1 -20 -5 -25 -3 -1 -4 -23 0 -22 8 -10 -2 0 0 0 0 0 0 402 441 843 258 1,305 1,563
Net capital gains/(losses) on unit-linked investments 0 0 0 0 0 0 8,752 5,827 14,579 1,788 11,181 12,969 116 42 158 42 49 91 0 0 0 0 0 0 190 133 322 144 189 334 0 0 0 0 0 0 9,058 6,001 15,059 1,974 11,419 13,393
Change in liabilities for investment contracts and other funds 0 0 0 0 0 0 -4,508 -2,754 -7,261 109 -5,140 -5,031 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -4,508 -2,754 -7,261 109 -5,140 -5,031
Re-/Insurance finance income/(expenses) 0 0 0 -0 0 0 -4,397 -3,378 -7,775 -1,980 -6,469 -8,448 -114 -43 -158 -41 -45 -86 0 0 0 0 0 0 -173 -136 -310 -146 -187 -333 0 0 0 -0 -0 -0 -4,685 -3,557 -8,242 -2,167 -6,701 -8,868
Net gains/(losses) on divestment of businesses 13 3 16 0 0 0 14 84 98 -1 -5 -6 0 0 0 0 0 0 -1 -0 -1 0 0 0 0 0 0 0 -1 -1 0 0 0 0 0 0 26 87 114 -1 -6 -7
Restructuring costs -118 -116 -234 -57 -126 -184 -10 -23 -33 -29 -47 -77 -1 -3 -4 -4 -24 -27 -4 -3 -6 -4 -8 -12 -0 0 -0 0 -0 -0 0 0 0 0 0 0 -133 -144 -277 -95 -205 -299
Impairments of goodwill 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other adjustments -7 -70 -77 -47 -116 -163 -16 5 -11 -35 -89 -124 -34 -32 -66 -37 -31 -68 -49 -16 -65 -57 -5 -62 0 -87 -87 8 -1 7 0 0 0 0 0 0 -107 -199 -307 -168 -243 -410
Add back:
Business operating profit attributable to non-controlling interests 71 78 149 78 79 157 239 231 470 234 232 466 0 0 0 0 0 0 -0 -0 -0 -0 -0 -0 0 0 0 0 0 0 0 0 0 0 0 0 311 308 619 312 311 623
Net income before shareholders' taxes 2,596 2,028 4,625 2,539 3,451 5,990 1,154 1,473 2,628 1,232 1,321 2,554 1,080 1,134 2,214 1,114 1,183 2,297 -432 -536 -968 -461 -516 -978 -47 -154 -201 25 -69 -44 0 0 0 0 0 0 4,352 3,946 8,298 4,450 5,370 9,820
Income tax expense/(benefit) attributable to policyholders (BOP relevant) 2 3 5 0 2 2 130 32 163 77 141 218 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 132 35 168 78 143 221
Net income before income taxes 2,599 2,031 4,630 2,540 3,453 5,992 1,285 1,506 2,790 1,309 1,463 2,772 1,080 1,134 2,214 1,114 1,183 2,297 -432 -536 -968 -461 -516 -978 -47 -154 -201 25 -69 -44 0 0 0 0 0 0 4,484 3,981 8,465 4,527 5,513 10,040
Income tax (expense)/benefit -1,264 -997 -2,261 -1,246 -1,594 -2,840
attributable to policyholders -131 -48 -179 -74 -155 -229
attributable to shareholders -1,132 -949 -2,082 -1,172 -1,438 -2,610
Net income after taxes 3,221 2,984 6,204 3,281 3,919 7,201
attributable to non-controlling interests 194 196 390 216 186 403
attributable to shareholders 3,026 2,788 5,814 3,065 3,733 6,798

BS by Business

in USD millions, as of (footnote: Assets and liabilities by business.)
USD million Property & Casualty Life Farmers Group Functions and Operations Non-Core Businesses Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2
Assets
Cash and cash equivalents 6,668 7,468 8,184 7,782 4,962 4,614 4,543 3,970 831 914 461 906 3,305 2,829 1,777 2,268 408 558 657 539 -9,590 -9,615 -8,813 -8,380 6,585 6,768 6,809 7,086
Total Group Investments 68,085 68,038 72,543 74,246 81,715 80,027 89,971 89,951 1,155 1,163 1,218 1,080 7,470 7,074 8,138 8,482 3,899 3,707 3,033 2,930 -8,209 -7,447 -7,745 -7,684 154,116 152,562 167,159 169,006
Equity securities 8,944 8,796 10,155 11,174 5,761 5,243 5,684 6,406 43 57 41 50 21 24 37 45 57 61 80 66 0 0 0 0 14,826 14,182 15,997 17,741
Debt securities 48,953 49,404 52,105 52,941 61,014 60,194 67,876 67,371 1,059 1,068 1,140 1,008 4,139 4,255 5,115 5,574 3,562 3,494 2,799 2,689 0 0 0 0 118,727 118,415 129,036 129,583
Investment property 4,864 4,573 4,933 4,865 7,643 7,061 8,114 7,735 46 30 31 15 0 0 0 0 77 70 70 88 0 0 0 0 12,630 11,734 13,148 12,703
Mortgage loans 899 865 955 914 3,323 3,182 3,494 3,348 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 4,222 4,047 4,449 4,262
Other financial assets 4,421 4,396 4,280 4,239 3,948 4,324 4,773 5,060 6 7 7 7 3,265 2,677 2,868 2,763 144 82 83 88 -8,209 -7,447 -7,745 -7,684 3,576 4,039 4,266 4,474
Investments in associates and joint ventures 5 5 115 113 27 24 31 30 0 0 0 0 45 117 117 100 60 0 0 0 0 0 0 0 136 146 263 243
Holding in affiliates
USD million 0
Investments for unit-linked contracts 0 0 0 0 142,301 144,343 160,679 171,605 1,357 1,422 1,478 1,573 0 0 0 0 2,752 2,769 2,809 2,876 0 0 0 0 146,410 148,535 164,966 176,054
Total investments 68,085 68,038 72,543 74,246 224,016 224,370 250,650 261,556 2,512 2,586 2,696 2,653 7,470 7,074 8,138 8,482 6,651 6,477 5,842 5,807 -8,209 -7,447 -7,745 -7,684 300,526 301,098 332,124 345,060
Insurance contract assets 313 342 370 319 340 426 561 590 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 653 768 931 909
Reinsurance contract assets 13,051 13,264 13,946 14,894 3,180 3,004 3,392 3,315 3,141 3,125 3,243 3,208 0 0 0 0 2,121 2,089 2,628 2,523 -32 -33 -52 -47 21,461 21,450 23,156 23,893
Goodwill 1,890 2,245 2,862 2,889 1,377 1,286 1,382 1,414 1,264 1,264 1,264 1,264 10 10 11 11 0 0 0 0 0 0 0 0 4,540 4,805 5,519 5,577
Other intangible assets 1,325 1,382 1,560 1,539 1,516 1,430 1,594 1,583 1,155 1,118 1,061 1,033 50 46 52 64 0 0 0 0 0 0 0 0 4,046 3,977 4,267 4,218
Other assets 6,383 6,854 7,461 7,325 8,020 5,287 5,726 5,772 3,528 3,550 3,539 3,624 2,700 4,219 3,916 4,276 2,216 2,176 2,417 2,244 -2,779 -2,946 -3,319 -2,774 20,068 19,140 19,739 20,468
Total assets 97,715 99,594 106,926 108,994 243,412 240,419 267,848 278,199 12,430 12,555 12,264 12,688 13,534 14,178 13,894 15,101 11,396 11,300 11,544 11,114 -20,609 -20,040 -19,929 -18,885 357,878 358,005 392,547 407,211
Liabilities
Liabilities for investment contracts 0 0 0 0 64,146 66,364 73,690 79,353 40 40 39 38 0 0 0 0 108 103 100 93 0 0 0 0 64,295 66,507 73,828 79,485
Insurance contract liabilities 62,066 63,083 68,965 69,543 156,298 154,192 171,803 175,741 5,541 5,579 5,677 5,610 3 3 2 0 7,855 7,652 8,379 8,197 -29 -30 -48 -46 231,734 230,479 254,778 259,043
Reinsurance contract liabilities 15 14 13 11 333 332 357 333 87 91 141 89 0 0 0 0 0 0 0 0 0 0 0 0 435 437 511 433
Other liabilities 11,094 11,715 12,376 13,316 10,872 7,823 9,089 9,669 1,348 1,398 1,420 1,512 8,948 9,998 9,886 9,113 2,619 2,492 1,952 1,729 -12,484 -12,673 -12,253 -11,278 22,397 20,753 22,470 24,062
Senior debt 1,155 987 1,179 1,235 437 0 14 27 0 0 0 0 8,690 7,537 7,858 7,624 292 324 221 184 -5,582 -4,828 -4,861 -4,824 4,992 4,020 4,411 4,246
Subordinated debt 910 901 987 969 607 601 658 646 0 0 0 0 9,459 9,880 11,217 10,898 0 0 0 0 -2,516 -2,511 -2,768 -2,738 8,460 8,871 10,093 9,775
Total liabilities 75,240 76,700 83,519 85,073 232,693 229,312 255,610 265,769 7,016 7,108 7,276 7,250 27,100 27,417 28,963 27,635 10,874 10,572 10,652 10,203 -20,611 -20,042 -19,930 -18,886 332,312 331,067 366,091 377,045
Equity
Shareholders’ equity 24,119 25,472 24,725 28,515
Non-controlling interests 1,446 1,466 1,731 1,651
Total equity 25,565 26,938 26,456 30,166
Total liabilities and equity 357,878 358,005 392,547 407,211
Supplementary information
Risk adjustment for non-financial risk 1,081 1,098 1,140 1,160 1,692 1,429 1,555 1,485 15 17 18 20 0 0 0 0 71 70 69 61 0 0 0 0 2,859 2,614 2,782 2,726
Liability for remaining coverage, net 6,389 5,753 7,144 5,957 149,811 148,283 164,899 168,617 3,327 3,199 3,234 3,157 0 -0 0 0 2,806 2,582 2,974 3,056 19 3 12 3 162,352 159,820 178,263 180,790
Liability for incurred claims, net 42,328 43,738 47,518 48,383 3,300 2,811 3,309 3,552 -840 -655 -659 -666 3 3 2 0 2,928 2,981 2,777 2,617 -16 -0 -8 -2 47,704 48,878 52,938 53,884

P&C by Segment

in USD millions (footnote: Property & Casualty - Overview by segment.) (footnote: Includes add-back and international programs business.) (footnote: 2.) (footnote: Includes insurance service expenses reported in the insurance service result, as well as technical non-qualifying expenses reported in the other result.)
USD million Europe, Middle East & Africa North America Asia Pacific Latin America Group Reinsurance Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Insurance revenue 8,989 9,662 18,651 9,801 10,851 20,652 9,970 11,015 20,985 10,520 11,599 22,119 1,746 2,047 3,793 2,004 2,103 4,107 1,573 1,589 3,162 1,566 1,679 3,245 398 400 799 414 417 831 -1,232 -1,367 -2,598 -1,292 -1,429 -2,721 21,446 23,346 44,792 23,014 25,220 48,234
Insurance service expense: losses, gross -5,364 -6,576 -11,940 -5,506 -6,583 -12,089 -5,577 -7,304 -12,881 -5,516 -6,917 -12,433 -815 -960 -1,775 -984 -1,159 -2,143 -630 -475 -1,105 -540 -580 -1,120 -208 -415 -623 -198 -213 -411 487 1,272 1,758 360 635 996 -12,108 -14,458 -26,566 -12,384 -14,818 -27,202
Insurance service expense: expenses, gross -2,159 -2,327 -4,486 -2,371 -2,710 -5,080 -2,397 -2,609 -5,005 -2,827 -2,984 -5,811 -535 -617 -1,152 -605 -621 -1,225 -618 -622 -1,240 -605 -674 -1,279 -11 -18 -29 -20 -16 -36 -2 1 -1 -5 -5 -9 -5,722 -6,191 -11,913 -6,432 -7,009 -13,441
Net expenses from reinsurance contracts held -749 -156 -905 -952 -642 -1,594 -1,085 -336 -1,421 -1,200 -638 -1,838 -231 -260 -491 -226 -153 -379 -197 -338 -535 -233 -261 -494 -238 -63 -301 -297 -179 -476 746 94 840 936 798 1,734 -1,753 -1,059 -2,812 -1,972 -1,075 -3,047
Insurance service result 716 603 1,320 973 916 1,889 912 766 1,678 977 1,060 2,037 165 210 375 189 170 359 129 154 282 189 164 352 -59 -96 -154 -101 8 -92 0 0 0 0 0 0 1,863 1,637 3,500 2,227 2,318 4,545
Net investment income on Group investments 444 464 908 498 523 1,021 564 577 1,141 578 611 1,189 75 104 180 100 107 207 149 122 271 103 104 207 1 3 4 -3 14 11 0 0 0 0 0 0 1,233 1,270 2,503 1,276 1,359 2,635
Net capital gains/(losses) on Group investments 53 26 79 -7 49 42 88 106 194 39 134 172 -2 1 -1 0 -3 -3 12 -17 -5 2 -2 -0 1 2 3 2 -2 -0 0 0 0 0 0 0 152 117 269 36 175 211
Net investment result on Group investments 497 490 987 492 572 1,063 652 682 1,335 617 745 1,361 73 105 178 100 104 204 161 105 265 105 101 207 2 4 7 -1 12 11 0 0 0 0 0 0 1,386 1,387 2,772 1,312 1,534 2,846
Net investment income on unit-linked investments 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in liabilities for investment contracts and other funds 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Re-/Insurance finance income/(expenses) -184 -195 -380 -210 -226 -435 -321 -369 -690 -371 -376 -747 -27 -32 -59 -32 -33 -65 -45 -33 -78 -31 -26 -58 -11 -16 -27 -15 -17 -32 0 0 0 0 -0 -0 -588 -645 -1,233 -659 -679 -1,338
Net investment result 313 295 608 282 346 628 331 313 644 246 368 614 46 73 120 68 71 139 115 72 187 74 75 149 -9 -11 -20 -16 -5 -21 0 0 0 0 -0 -0 797 742 1,539 653 855 1,508
Fee income 109 113 222 115 121 236 104 102 206 133 116 250 30 25 55 19 26 45 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 243 240 483 267 263 530
Fee business expenses -83 -87 -170 -86 -95 -181 -65 -70 -134 -104 -78 -182 -37 -42 -79 -36 -47 -83 0 -0 -0 -1 -1 -2 0 0 0 0 -0 -0 -1 -1 -2 1 0 1 -186 -200 -385 -227 -221 -448
Fee result 26 26 52 29 26 55 39 32 72 29 38 67 -7 -17 -24 -18 -21 -39 0 -0 -0 -1 -1 -2 0 0 0 0 -0 -0 -1 -1 -2 1 0 1 57 40 98 40 43 83
Other result -263 -203 -466 -230 -271 -501 -46 -35 -80 -48 -17 -65 -55 -61 -116 -60 -56 -117 -64 -66 -130 -73 -73 -146 8 5 12 -1 -18 -19 1 1 2 -1 0 -0 -420 -359 -779 -413 -435 -848
of which: technical non-qualifying expense -259 -216 -475 -222 -262 -484 -87 -78 -165 -101 -78 -178 -55 -52 -107 -61 -65 -126 -62 -67 -129 -72 -72 -143 -21 -24 -45 -23 -42 -65 1 1 2 -1 -0 -1 -484 -436 -919 -479 -518 -997
Income tax (expense)/benefit attributable to policyholders (BOP relevant) 0 0 0 0 0 0 0 0 0 0 0 0 -2 -3 -5 -0 -2 -2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -2 -3 -5 -0 -2 -2
Business operating profit before non-controlling interests 792 721 1,514 1,053 1,017 2,071 1,236 1,077 2,313 1,204 1,449 2,654 147 203 349 179 162 340 180 159 339 188 165 354 -60 -102 -162 -118 -15 -133 0 0 0 0 0 0 2,296 2,058 4,353 2,507 2,779 5,286
Non-controlling interest 12 14 26 15 14 28 0 0 0 0 0 0 2 5 6 -1 -5 -6 58 58 116 65 70 135 0 0 0 0 0 0 0 0 0 0 0 0 71 78 149 78 79 157
Business operating profit 781 707 1,487 1,039 1,004 2,042 1,236 1,077 2,313 1,204 1,449 2,654 145 198 343 180 166 346 122 101 223 124 95 219 -60 -102 -162 -118 -15 -133 0 0 0 0 0 0 2,224 1,980 4,204 2,429 2,700 5,129
Ratios, as % of insurance revenue
Loss ratio 68.0% 69.7% 68.9% 65.9% 66.6% 66.3% 66.8% 69.4% 68.2% 63.8% 65.1% 64.5% 59.9% 59.6% 59.7% 60.4% 62.4% 61.4% 52.6% 51.2% 51.9% 49.4% 50.1% 49.7% nm nm nm nm nm nm nm nm nm nm nm nm 64.6% 66.5% 65.6% 62.4% 63.0% 62.7%
of which catastrophes 1.0% 1.7% 1.4% 1.0% 0.5% 0.7% 3.5% 5.4% 4.5% 2.9% 0.6% 1.7% 0.2% 0.0% 0.1% 0.5% 0.3% 0.4% 0.6% (0.0%) 0.3% 0.0% 0.0% 0.0% nm nm nm nm nm nm nm nm nm nm nm nm 2.4% 3.7% 3.1% 1.8% 0.6% 1.2%
of which discount impact (current accident year) (3.2%) (2.8%) (3.0%) (2.6%) (2.5%) (2.6%) (4.9%) (3.9%) (4.4%) (4.5%) (3.8%) (4.2%) (1.5%) (1.5%) (1.5%) (1.5%) (1.6%) (1.6%) (1.9%) (1.4%) (1.7%) (1.6%) (1.1%) (1.3%) nm nm nm nm nm nm nm nm nm nm nm nm (4.0%) (3.2%) (3.6%) (3.5%) (3.1%) (3.3%)
of which prior year development (2.4%) (2.1%) (2.3%) (2.6%) (2.4%) (2.5%) (1.0%) (1.0%) (1.0%) (1.3%) (0.5%) (0.9%) (3.2%) (1.2%) (2.2%) (4.2%) (2.1%) (3.2%) 0.1% (0.1%) (0.0%) (2.0%) (0.0%) (1.0%) nm nm nm nm nm nm nm nm nm nm nm nm (1.6%) (1.5%) (1.6%) (1.8%) (1.7%) (1.8%)
Expense ratio 26.9% 26.3% 26.6% 26.5% 27.4% 26.9% 24.9% 24.4% 24.6% 27.8% 26.4% 27.1% 33.8% 32.7% 33.2% 33.2% 32.6% 32.9% 43.2% 43.4% 43.3% 43.2% 44.4% 43.8% nm nm nm nm nm nm nm nm nm nm nm nm 28.9% 28.4% 28.6% 30.0% 29.8% 29.9%
Combined ratio 94.9% 96.0% 95.5% 92.3% 94.0% 93.2% 91.7% 93.7% 92.8% 91.7% 91.5% 91.6% 93.7% 92.2% 92.9% 93.6% 95.0% 94.3% 95.8% 94.5% 95.1% 92.5% 94.5% 93.6% nm nm nm nm nm nm nm nm nm nm nm nm 93.6% 94.9% 94.2% 92.4% 92.9% 92.6%

P&C by Country & Customer Unit

in USD millions (footnote: Property & Casualty - Overview by country.) (footnote: Property & Casualty - Overview by customer unit.)
USD million Gross written premium Insurance revenue Business operating profit Combined ratio Loss ratio Expense ratio
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Germany 1,963 1,434 3,398 2,186 1,749 3,935 1,546 1,697 3,244 1,724 2,028 3,752 0 28 28 204 171 375 104.7% 104.0% 104.3% 92.4% 95.5% 94.1% 73.6% 73.4% 73.5% 63.2% 65.1% 64.3% 31.1% 30.6% 30.8% 29.2% 30.4% 29.8%
Ireland 250 224 474 248 242 490 230 239 469 236 255 491 33 40 72 24 54 78 88.5% 86.8% 87.7% 93.4% 82.7% 87.8% 59.8% 58.7% 59.2% 64.7% 53.5% 58.9% 28.7% 28.1% 28.4% 28.7% 29.2% 29.0%
Italy 936 950 1,886 982 1,081 2,063 866 935 1,801 936 1,048 1,983 107 85 192 122 94 216 90.3% 93.2% 91.8% 89.5% 93.9% 91.8% 61.2% 64.9% 63.1% 59.4% 64.1% 61.9% 29.1% 28.3% 28.7% 30.1% 29.8% 29.9%
Spain 808 722 1,531 897 874 1,771 713 747 1,459 784 893 1,677 37 35 72 60 63 123 96.1% 96.2% 96.2% 93.4% 94.5% 94.0% 62.7% 61.7% 62.2% 59.7% 61.0% 60.4% 33.4% 34.5% 34.0% 33.8% 33.5% 33.6%
Switzerland 2,920 1,337 4,257 3,109 1,611 4,720 1,948 2,115 4,063 2,133 2,362 4,494 168 161 329 185 199 384 95.4% 96.3% 95.9% 93.1% 94.9% 94.0% 73.9% 75.6% 74.8% 72.5% 73.9% 73.2% 21.5% 20.7% 21.1% 20.5% 21.0% 20.8%
United Kingdom 2,546 2,412 4,958 2,683 2,465 5,148 2,294 2,483 4,777 2,431 2,511 4,942 294 231 525 364 295 658 89.4% 93.8% 91.7% 87.5% 91.6% 89.6% 63.5% 67.3% 65.5% 60.3% 63.4% 61.9% 25.9% 26.5% 26.2% 27.2% 28.2% 27.7%
Rest of Europe, Middle East & Africa 1,710 1,401 3,111 1,905 1,675 3,579 1,393 1,446 2,838 1,559 1,755 3,314 142 127 269 80 129 209 95.8% 93.2% 94.5% 99.8% 95.7% 97.7% 69.3% 69.8% 69.6% 75.6% 69.3% 72.2% 26.5% 23.3% 24.9% 24.2% 26.5% 25.4%
Europe, Middle East & Africa 11,134 8,481 19,615 12,009 9,698 21,707 8,989 9,662 18,651 9,801 10,851 20,652 781 707 1,487 1,039 1,004 2,042 94.9% 96.0% 95.5% 92.3% 94.0% 93.2% 68.0% 69.7% 68.9% 65.9% 66.6% 66.3% 26.9% 26.3% 26.6% 26.5% 27.4% 26.9%
United States 11,120 9,367 20,487 11,332 9,616 20,948 9,405 10,424 19,829 9,562 10,572 20,134 1,067 1,051 2,118 1,067 1,282 2,348 92.7% 93.3% 93.0% 92.2% 91.9% 92.0% 68.0% 69.1% 68.6% 66.6% 66.8% 66.7% 24.6% 24.2% 24.4% 25.6% 25.1% 25.3%
Rest of North America 484 613 1,096 1,114 1,048 2,162 566 591 1,156 958 1,027 1,984 169 26 195 138 168 306 76.3% 101.6% 89.2% 86.7% 88.0% 87.4% 46.8% 74.8% 61.1% 36.2% 48.1% 42.4% 29.6% 26.8% 28.2% 50.5% 39.9% 45.0%
North America 11,604 9,980 21,584 12,446 10,664 23,110 9,970 11,015 20,985 10,520 11,599 22,119 1,236 1,077 2,313 1,204 1,449 2,654 91.7% 93.7% 92.8% 91.7% 91.5% 91.6% 66.8% 69.4% 68.2% 63.8% 65.1% 64.5% 24.9% 24.4% 24.6% 27.8% 26.4% 27.1%
Australia 673 719 1,392 621 697 1,319 660 702 1,362 639 664 1,303 59 44 103 81 62 144 93.8% 96.5% 95.2% 90.0% 94.1% 92.1% 58.1% 61.0% 59.6% 55.6% 61.5% 58.6% 35.8% 35.5% 35.6% 34.3% 32.6% 33.5%
Japan 410 412 822 445 433 878 384 440 824 439 447 886 24 69 93 55 48 103 93.9% 84.5% 88.9% 87.6% 89.7% 88.6% 57.0% 50.0% 53.3% 53.4% 54.0% 53.7% 36.8% 34.5% 35.6% 34.2% 35.6% 34.9%
Rest of Asia Pacific 765 984 1,748 1,044 1,039 2,082 702 905 1,607 926 991 1,918 62 84 147 44 56 100 93.5% 92.7% 93.1% 99.0% 98.0% 98.5% 63.2% 63.1% 63.2% 67.0% 66.8% 66.9% 30.3% 29.6% 29.9% 32.0% 31.2% 31.6%
Asia Pacific 1,847 2,115 3,963 2,110 2,169 4,279 1,746 2,047 3,793 2,004 2,103 4,107 145 198 343 180 166 346 93.7% 92.2% 92.9% 93.6% 95.0% 94.3% 59.9% 59.6% 59.7% 60.4% 62.4% 61.4% 33.8% 32.7% 33.2% 33.2% 32.6% 32.9%
Argentina 278 304 582 287 265 552 224 264 489 268 240 508 26 6 33 22 13 35 118.3% 106.4% 111.8% 99.3% 99.2% 99.2% 76.1% 67.8% 71.6% 62.6% 59.4% 61.1% 42.1% 38.5% 40.2% 36.7% 39.8% 38.1%
Brazil 483 520 1,003 496 567 1,063 450 446 896 448 507 955 35 34 70 32 37 70 97.7% 98.4% 98.0% 97.1% 99.1% 98.2% 41.6% 43.7% 42.6% 43.8% 45.4% 44.7% 56.1% 54.7% 55.4% 53.3% 53.7% 53.5%
Rest of Latin America 1,003 918 1,921 866 1,020 1,886 899 878 1,777 850 933 1,782 60 60 121 69 45 114 89.2% 89.0% 89.1% 88.0% 90.8% 89.5% 52.2% 50.0% 51.1% 48.1% 50.2% 49.2% 37.0% 39.1% 38.0% 39.9% 40.6% 40.3%
Latin America 1,764 1,742 3,506 1,649 1,852 3,501 1,573 1,589 3,162 1,566 1,679 3,245 122 101 223 124 95 219 95.8% 94.5% 95.1% 92.5% 94.5% 93.6% 52.6% 51.2% 51.9% 49.4% 50.1% 49.7% 43.2% 43.4% 43.3% 43.2% 44.4% 43.8%
Group Reinsurance 547 343 890 564 352 916 398 400 799 414 417 831 -60 -102 -162 -118 -15 -133 nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm
Eliminations -1,554 -1,380 -2,934 -1,635 -1,457 -3,092 -1,232 -1,367 -2,598 -1,292 -1,429 -2,721 -0 0 -0 0 0 0 nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm
Total 25,342 21,282 46,624 27,144 23,278 50,422 21,446 23,346 44,792 23,014 25,220 48,234 2,224 1,980 4,204 2,429 2,700 5,129 93.6% 94.9% 94.2% 92.4% 92.9% 92.6% 64.6% 66.5% 65.6% 62.4% 63.0% 62.7% 28.9% 28.4% 28.6% 30.0% 29.8% 29.9%
in USD millions
USD million Gross written premium Insurance revenue Business operating profit Combined ratio Loss ratio Expense ratio
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Commercial insurance 16,408 13,438 29,847 16,886 14,093 30,979 13,752 14,983 28,735 14,121 15,477 29,599 1,781 1,605 3,387 1,824 1,966 3,790 91.4% 93.1% 92.3% 90.5% 91.5% 91.0% 66.3% 68.5% 67.4% 64.6% 66.0% 65.4% 25.0% 24.7% 24.8% 25.8% 25.5% 25.7%
Retail and SME 8,865 7,873 16,738 10,175 9,221 19,396 7,661 8,324 15,984 8,845 9,708 18,553 502 477 980 723 748 1,471 96.4% 96.5% 96.5% 94.1% 94.6% 94.4% 60.9% 61.8% 61.3% 57.7% 58.4% 58.1% 35.6% 34.7% 35.1% 36.3% 36.3% 36.3%
Group Reinsurance 547 343 890 564 352 916 398 400 799 414 417 831 -60 -102 -162 -118 -15 -133 nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm
Eliminations -478 -372 -850 -481 -388 -870 -365 -361 -726 -366 -383 -749 0 0 0 0 0 0 nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm nm
Total 25,342 21,282 46,624 27,144 23,278 50,422 21,446 23,346 44,792 23,014 25,220 48,234 2,224 1,980 4,204 2,429 2,700 5,129 93.6% 94.9% 94.2% 92.4% 92.9% 92.6% 64.6% 66.5% 65.6% 62.4% 63.0% 62.7% 28.9% 28.4% 28.6% 30.0% 29.8% 29.9%

Life by Segment

in USD millions (footnote: Life - Overview by segment.) (footnote: Insurance service result - Additional information.)
USD million Europe, Middle East & Africa North America Asia Pacific Latin America Group Reinsurance Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Insurance revenue 3,219 3,347 6,566 3,295 3,863 7,158 81 79 160 38 36 74 1,138 1,164 2,302 1,164 1,240 2,404 1,366 1,320 2,687 1,286 1,416 2,702 13 14 27 16 18 34 -21 -22 -43 -24 -25 -49 5,797 5,903 11,700 5,775 6,548 12,323
Insurance service expense -2,495 -2,504 -4,999 -2,549 -2,902 -5,451 -47 -36 -83 -16 -25 -41 -947 -1,062 -2,009 -997 -1,149 -2,146 -1,062 -997 -2,060 -940 -1,100 -2,039 -4 -11 -15 -3 -21 -24 15 20 36 8 30 38 -4,541 -4,590 -9,130 -4,497 -5,167 -9,663
Net expenses from reinsurance contracts held -25 -87 -113 -43 -130 -173 -13 -18 -31 -11 -5 -16 -39 56 17 -32 73 42 -8 -25 -33 -19 -12 -31 -5 -4 -8 -4 -1 -5 6 2 7 16 -5 12 -85 -76 -161 -93 -79 -171
Insurance service result 698 756 1,455 703 831 1,534 21 25 46 11 6 17 152 158 310 135 165 300 296 298 594 327 305 632 4 -1 4 9 -4 5 0 0 0 0 0 0 1,172 1,237 2,409 1,186 1,302 2,488
Net investment income on Group investments 1,135 1,117 2,252 1,112 1,208 2,320 31 33 64 9 10 18 113 127 240 112 139 251 243 194 437 142 147 289 0 0 0 0 0 0 -0 -0 -1 -0 -0 -0 1,521 1,471 2,992 1,375 1,504 2,879
Net capital gains/(losses) on Group investments -34 -62 -96 -143 2 -140 13 5 18 -0 -0 -0 -2 -5 -6 2 -3 -1 -23 -10 -33 2 7 9 -2 -1 -3 -1 -2 -3 0 0 0 0 0 0 -48 -73 -121 -140 5 -135
Net investment result on Group investments 1,100 1,056 2,156 969 1,211 2,180 44 37 82 9 10 18 111 122 234 114 137 251 219 184 404 144 153 297 -2 -1 -3 -1 -2 -3 -0 -0 -1 -0 -0 -0 1,473 1,398 2,871 1,235 1,509 2,744
Net investment income on unit-linked investments 588 572 1,160 608 599 1,207 0 0 0 0 0 0 30 35 65 18 21 39 23 13 35 15 13 28 0 0 0 0 0 0 0 0 0 0 0 0 641 619 1,260 640 633 1,274
Change in liabilities for investment contracts and other funds -423 -373 -796 -453 -400 -853 0 0 0 0 0 0 -21 -25 -47 -10 -15 -25 -0 -0 -0 -0 -0 -0 0 0 0 0 0 0 0 0 0 0 0 0 -444 -398 -842 -463 -416 -879
Re-/Insurance finance income/(expenses) -1,073 -1,064 -2,137 -1,025 -1,121 -2,146 -50 -43 -93 -7 -7 -14 -96 -89 -184 -87 -99 -186 -161 -110 -271 -63 -74 -137 -0 -0 -0 -0 -0 -0 0 0 0 0 0 0 -1,380 -1,305 -2,685 -1,181 -1,302 -2,483
Net investment result 193 191 384 100 288 389 -6 -5 -11 1 3 4 24 43 67 35 43 78 81 87 168 96 92 188 -2 -1 -3 -1 -2 -3 -0 -0 -1 -0 -0 -0 290 314 604 231 424 656
Fee income 426 462 888 476 581 1,057 0 0 0 0 0 0 25 18 43 21 17 38 9 11 20 11 -1 10 0 0 0 0 0 0 0 0 0 0 0 0 460 491 951 508 597 1,105
Fee business expenses -315 -310 -624 -341 -383 -724 -0 0 -0 0 0 0 -4 -4 -8 -5 -4 -8 -7 -6 -13 -7 -2 -9 0 0 0 0 0 0 0 0 0 0 0 0 -326 -320 -646 -353 -389 -742
Fee result 112 152 264 135 198 332 -0 0 -0 0 0 0 20 15 35 17 13 30 2 5 7 4 -4 1 0 0 0 0 0 0 0 0 0 0 0 0 134 172 306 155 207 363
Other revenues 118 66 184 64 55 120 16 14 30 0 -0 0 10 6 17 7 11 17 13 12 25 7 10 18 2 1 3 0 1 1 0 0 0 0 0 0 159 100 259 79 77 156
Interest expense on debt -10 -3 -13 -7 -18 -25 -0 -0 -0 -0 -0 -0 -20 -18 -38 -2 -3 -5 -2 -1 -3 -1 -1 -3 -0 -0 -0 -0 -0 -0 0 0 1 0 0 0 -31 -22 -53 -10 -22 -33
Other expenses -205 -245 -450 -224 -311 -535 -1 -7 -8 -0 -1 -1 -64 -71 -136 -66 -64 -130 -63 -45 -108 -73 -119 -191 0 0 0 0 0 0 0 0 0 0 0 0 -333 -368 -701 -363 -494 -857
Restructuring costs and other items not relevant for BOP 19 44 64 45 67 112 0 0 0 0 0 0 4 1 6 3 5 8 2 -28 -26 16 64 80 0 0 0 0 0 0 0 0 0 0 0 0 26 18 44 64 136 200
Other result -78 -137 -215 -121 -207 -328 15 7 23 -0 -1 -2 -69 -82 -151 -59 -50 -109 -49 -62 -111 -50 -46 -96 2 1 2 0 1 1 0 0 1 0 0 0 -179 -272 -451 -230 -303 -534
Income tax (expense)/benefit attributable to policyholders (BOP relevant) -116 -26 -141 -70 -133 -204 0 0 0 0 0 0 -14 -6 -20 -7 -8 -14 -1 -0 -1 -0 -0 -0 0 0 0 0 0 0 0 0 0 0 0 0 -130 -32 -163 -77 -141 -218
Business operating profit before non-controlling interests 809 937 1,746 747 977 1,724 30 27 57 12 7 19 114 128 242 121 163 284 330 328 657 377 348 725 4 -1 3 8 -6 3 0 0 0 0 0 0 1,287 1,418 2,705 1,265 1,490 2,754
Non-controlling interest 86 86 171 80 82 162 0 0 0 0 0 0 -1 -1 -1 -1 -2 -2 154 146 300 154 152 306 0 0 0 0 0 0 0 0 0 0 0 0 239 231 470 234 232 466
Business operating profit 724 851 1,575 666 896 1,562 30 27 57 12 7 19 114 129 243 122 164 286 175 182 357 223 196 418 4 -1 3 8 -6 3 0 0 0 0 0 0 1,048 1,187 2,235 1,031 1,258 2,288
Insurance service result breakdown by segment and period for fiscal years 2024 and 2025 (footnote: Includes USD 4 million and USD 5 million adjustments related to Argentina and Turkey hyperinflation for 2025 and 2024, respectively.) (footnote: Excludes impact of onerous contracts.)
USD million Europe, Middle East & Africa North America Asia Pacific Latin America Group Reinsurance Eliminations Total
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
CSM amortization 530 578 1,109 566 688 1,254 12 16 28 12 11 23 131 129 260 125 130 255 56 54 110 55 59 114 1 1 2 1 2 3 0 0 0 0 0 0 731 778 1,509 760 890 1,650
Release of risk adjustment 55 54 109 57 60 117 2 2 3 0 0 1 26 27 53 24 27 50 4 4 8 4 4 8 0 0 0 0 0 0 0 0 0 0 0 0 87 87 174 84 91 176
Insurance result - short-term life business 8 14 22 10 5 15 0 1 1 2 -0 1 0 0 0 0 0 0 249 254 502 275 265 541 -2 -3 -5 1 -13 -12 0 0 0 0 0 0 255 266 521 288 257 545
Insurance margin 593 646 1,239 633 754 1,386 14 18 32 14 11 25 158 156 314 149 156 305 309 312 621 334 328 662 -1 -2 -3 2 -11 -8 0 0 0 0 0 0 1,072 1,131 2,204 1,132 1,238 2,370
Onerous contracts -11 -34 -45 -3 3 0 -7 34 27 -1 -2 -3 -6 21 15 -22 54 32 -2 3 1 -1 -7 -8 0 -0 -0 -0 -0 -0 0 0 0 -0 0 -0 -25 24 -2 -28 49 21
Experience adjustments 116 144 260 73 75 148 14 -27 -13 -2 -3 -5 1 -19 -19 9 -46 -37 -11 -16 -27 -6 -17 -22 6 1 7 7 6 13 -0 -0 -1 0 -0 0 125 82 207 82 15 97
Insurance service result 698 756 1,455 703 831 1,534 21 25 46 11 6 17 152 158 310 135 165 300 296 298 594 327 305 632 4 -1 4 9 -4 5 0 0 0 0 0 0 1,172 1,237 2,409 1,186 1,302 2,488

Life Details

PVNBP, new business CSM, and new business margin breakdown by product type for fiscal years 2024 and 2025 (footnote: Life BBA, VFA New Business.) (footnote: CSM walk.) (footnote: Protection.) (footnote: Unit-linked.) (footnote: Savings and annuities.) (footnote: Total (long-term insurance contracts).)
USD million Protection Unit-linked Savings and annuities Total (long-term insurance contracts)
2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
PVNBP 3,074 2,664 5,738 3,056 3,570 6,626 4,599 4,760 9,359 4,631 4,234 8,865 837 956 1,793 2,352 1,654 4,006 8,510 8,381 16,891 10,039 9,458 19,497
New business CSM 375 347 721 385 468 853 134 168 301 160 177 338 35 36 71 26 15 41 543 550 1,094 572 660 1,231
New business margin 12.18% 13.02% 12.57% 12.60% 13.10% 12.87% 2.91% 3.52% 3.22% 3.46% 4.19% 3.81% 4.19% 3.77% 3.97% 1.12% 0.89% 1.02% 6.38% 6.57% 6.48% 5.69% 6.97% 6.31%
CSM rollforward by product type for fiscal years 2024 and 2025 (footnote: Life PAA.)
USD million Protection Unit-linked Savings and annuities Total (long-term insurance contracts)
2024 2025 2024 2025 2024 2025 2024 2025
H1 FY-24 H1 FY-25 H1 FY-24 H1 FY-25 H1 FY-24 H1 FY-25 H1 FY-24 H1 FY-25
CSM beginning of period 3,989 3,989 3,872 3,872 5,188 5,188 5,270 5,270 2,349 2,349 2,515 2,515 11,526 11,526 11,657 11,657
New business CSM 375 721 385 853 134 301 160 338 35 71 26 41 543 1,094 572 1,231
Expected return 51 109 51 137 170 365 170 316 52 129 73 144 273 603 293 598
Operating variances -14 96 161 182 238 -56 -55 -725 50 220 3 690 273 260 109 147
Economic variances -32 9 6 53 13 204 -64 138 -72 88 174 257 -91 301 116 448
FX foreign currency movements -196 -272 476 424 -216 -332 549 559 -119 -171 332 354 -531 -774 1,358 1,337
Other 37 27 -51 622 2 -6 16 -516 113 130 23 -117 152 151 -13 -11
CSM before release 4,210 4,679 4,900 6,142 5,527 5,664 6,046 5,380 2,408 2,818 3,145 3,884 12,145 13,161 14,091 15,405
CSM amortization -399 -806 -395 -913 -198 -395 -209 -385 -132 -303 -155 -348 -729 -1,504 -759 -1,646
CSM end of period 3,811 3,872 4,505 5,228 5,329 5,270 5,837 4,995 2,276 2,515 2,990 3,536 11,415 11,657 13,332 13,760
Insurance revenue and insurance service result for fiscal years 2024 and 2025 (footnote: Life Investment Contracts.)
USD million Total
2024 2025
H1 H2 FY-24 H1 H2 FY-25
Insurance revenue 1,363 1,441 2,804 1,378 1,615 2,993
Insurance service result 255 265 520 289 254 543
Fee service result and KPIs for fiscal years 2024 and 2025 (footnote: 1Economic variances have been restated to exclude the expected return (previously included within economic variances), which is now presented separately.)
USD million Total
2024 2025
H1 H2 FY-24 H1 H2 FY-25
Fee revenues 345 372 717 384 453 837
Fee service expenses -225 -222 -447 -245 -270 -515
Fee service result 120 151 270 140 183 322
KPIs
Average AuM 111,176 114,367 112,789 123,266 133,040 125,754
Fee revenue / average AuM 0.62% 0.65% 0.64% 0.62% 0.68% 0.67%
Cost income ratio (%) 65% 60% 62% 64% 60% 61%
Fee service result / average AuM 0.22% 0.26% 0.24% 0.23% 0.27% 0.26%

Life by Country

Gross premiums and deposits, insurance revenue, and business operating profit breakdown by region and country for fiscal years 2024 and 2025 (footnote: Life overview by region & major BU.) (footnote: Gross written premiums for Protection, gross policyholder inflows for Savings & Annuities and Unit-linked (including investment and asset management contracts).)
USD million Gross premiums and deposits Insurance revenue Business operating profit
2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Germany 1,470 1,393 2,863 1,403 1,718 3,121 542 652 1,194 556 740 1,296 128 208 337 102 122 224
Ireland 3,034 3,624 6,658 3,084 3,522 6,605 181 192 373 198 216 414 49 65 115 74 83 156
Italy 758 767 1,524 913 1,070 1,983 145 166 310 172 197 369 34 25 59 30 36 66
Spain 1,353 1,197 2,550 2,982 2,268 5,250 316 304 620 310 349 659 117 122 240 111 118 229
Switzerland 1,566 1,730 3,296 1,628 1,795 3,423 689 648 1,337 724 738 1,462 178 198 376 185 222 407
United Kingdom 848 679 1,527 901 791 1,692 838 753 1,591 796 928 1,724 114 90 203 67 117 183
Zurich International 984 1,100 2,083 1,016 1,120 2,136 283 289 572 281 291 573 33 45 79 12 114 126
Rest of Europe, Middle East & Africa 594 589 1,183 692 536 1,228 226 343 569 259 403 661 70 97 167 86 85 172
Europe, Middle East & Africa 10,607 11,079 21,686 12,619 12,820 25,439 3,219 3,347 6,566 3,295 3,863 7,158 724 851 1,575 666 896 1,562
North America 494 555 1,049 614 270 884 81 79 160 38 36 74 30 27 57 12 7 19
Australia 929 962 1,890 1,127 988 2,114 870 876 1,747 852 907 1,758 65 52 117 56 82 138
Japan 225 243 468 262 274 536 138 142 281 156 170 326 34 35 70 28 27 55
Rest of Asia Pacific 202 253 455 263 329 592 129 146 275 157 163 320 15 41 56 38 55 94
Asia Pacific 1,356 1,457 2,813 1,652 1,591 3,243 1,138 1,164 2,302 1,164 1,240 2,404 114 129 243 122 164 286
Argentina 122 129 250 134 122 256 70 82 152 80 76 155 6 14 21 35 31 66
Brazil 2,641 2,720 5,361 2,207 2,119 4,326 715 673 1,388 671 737 1,408 97 89 186 101 99 199
Rest of Latin America 1,329 1,082 2,412 1,151 1,132 2,282 581 565 1,147 535 603 1,139 72 79 151 87 66 153
Latin America 4,093 3,931 8,024 3,492 3,372 6,864 1,366 1,320 2,687 1,286 1,416 2,702 175 182 357 223 196 418
Group Reinsurance nm nm nm nm nm nm 13 14 27 16 18 34 4 -1 3 8 -6 3
Eliminations -262 -249 -511 -144 -91 -235 -21 -22 -43 -24 -25 -49 0 0 0 0 0 0
Total 16,287 16,773 33,061 18,233 17,961 36,194 5,797 5,903 11,700 5,775 6,548 12,323 1,048 1,187 2,235 1,031 1,258 2,288

Life Reserves Liabilities AUM

Total reserves and liabilities breakdown by region and contract type for fiscal years 2024 and 2025 (footnote: Life - Reserves and liabilities, net of reinsurance by accounting approach.) (footnote: Life assets under management.)
USD million Total reserves and liabilities of which: investment contracts of which: VFA unit-linked insurance contracts of which: VFA non unit-linked insurance contracts of which: Life BBA and PAA
2024 2025 2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2 H1 H2
Europe, Middle East & Africa 176,494 176,570 197,225 204,748 62,868 65,211 73,024 78,926 51,978 51,889 56,986 62,877 48,283 46,429 51,275 46,073 13,365 13,042 15,939 16,871
of which:
Germany 47,412 46,278 50,968 50,863 27 26 30 30 26,397 25,891 28,702 30,118 21,207 20,499 22,447 20,910 -219 -138 -211 -195
Ireland 40,424 43,047 49,448 54,358 37,722 40,437 46,547 51,510 325 309 339 83 1,327 1,235 1,390 1,614 1,050 1,066 1,173 1,151
Italy 10,544 10,588 11,990 12,602 1,067 1,181 1,295 1,359 6,448 6,547 7,601 8,183 2,983 2,836 3,036 3,033 46 25 57 27
Spain 10,606 10,404 13,065 13,865 0 0 0 0 866 827 755 636 101 105 124 129 9,639 9,472 12,187 13,101
Switzerland 20,671 20,706 23,089 23,239 0 0 0 0 751 1,669 1,879 5,820 19,807 18,980 21,268 17,442 114 57 -57 -23
United Kingdom 28,075 26,481 28,166 27,977 12,908 12,104 12,802 12,714 12,047 11,461 12,215 12,167 914 871 923 886 2,206 2,045 2,227 2,209
Zurich International 15,424 15,771 16,859 18,199 10,555 10,895 11,735 12,706 4,701 4,735 4,997 5,332 8 -9 -7 -9 160 150 134 170
Rest of Europe, Middle East & Africa 3,338 3,295 3,639 3,646 589 569 616 607 443 451 498 538 1,937 1,911 2,095 2,070 369 365 430 431
North America 13,545 14,314 14,474 15,278 0 0 0 0 12,726 13,487 14,443 15,238 0 0 0 0 819 827 31 40
Asia Pacific 5,707 5,622 5,234 5,066 1,275 1,149 660 421 787 746 828 957 937 1,075 1,095 1,153 2,708 2,651 2,651 2,536
Latin America 21,499 20,938 24,951 26,406 3 3 6 6 19,590 19,174 22,915 24,238 -0 -0 -0 -0 1,906 1,762 2,031 2,163
Group Reinsurance 11 13 11 24 0 0 0 0 0 0 0 0 0 0 0 0 11 13 11 24
Eliminations 1 1 1 0 0 0 0 0 0 0 0 0 0 0 0 0 1 1 1 0
Total 217,257 217,458 241,897 251,522 64,146 66,364 73,690 79,353 85,081 85,296 95,173 103,309 49,220 47,503 52,371 47,226 18,809 18,296 20,664 21,633
Assets under management rollforward by type for fiscal years 2024 and 2025
USD million Total of which: Investment and asset management contracts
2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
AuM beginning of the period 259,476 277,586 259,476 278,600 312,055 278,600 109,599 112,753 109,599 115,980 130,552 115,980
Net inflows 2,240 2,624 4,864 3,121 3,246 6,367 255 1,474 1,729 -369 2,335 1,966
Other 27,627 7,016 34,643 -2,538 6,615 4,077 7,365 4,506 11,871 235 2,704 2,939
FX -11,757 -8,625 -20,382 32,872 -216 32,656 -4,465 -2,753 -7,218 14,705 -63 14,642
AuM end of period 277,586 278,600 278,600 312,055 321,700 321,700 112,753 115,980 115,980 130,552 135,527 135,527
of which unit-linked 142,301 144,343 144,343 160,679 171,605 171,605 0 0 0 0 0 0
of which group investments 86,678 84,641 84,641 94,515 93,921 93,921 0 0 0 0 0 0
of which 3rd party investments 48,607 49,616 49,616 56,862 56,174 56,174 0 0 0 0 0 0

Farmers

Business operating profit breakdown by segment for fiscal years 2024 and 2025 (footnote: Farmers - Overview.) (footnote: Includes eliminations.)
USD million Farmers Life Farmers Management Services Farmers Re Total
2024 2025 2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Insurance revenue 503 509 1,012 509 498 1,007 0 0 0 0 0 0 953 976 1,929 603 635 1,238 1,456 1,485 2,941 1,112 1,134 2,245
Insurance service expense -406 -328 -734 -367 -365 -732 0 0 0 0 0 0 -898 -892 -1,790 -531 -504 -1,034 -1,305 -1,220 -2,525 -897 -869 -1,766
Net expenses from reinsurance contracts held -64 -145 -209 -108 -103 -211 0 0 0 0 0 0 0 0 0 0 0 0 -64 -145 -209 -108 -103 -211
Insurance service result 33 36 69 34 30 64 0 0 0 0 0 0 55 84 139 72 132 204 88 120 208 106 161 268
Net investment income on group investments 13 12 26 13 12 25 -0 -0 -0 -0 -0 -0 10 11 21 12 12 24 23 23 46 25 24 49
Net capital gains/(losses) on group investments 0 -0 0 0 0 0 -3 -0 -4 0 0 0 0 -0 -0 0 -0 -0 -3 -0 -4 0 0 0
Net investment result on group investments 13 12 26 13 12 25 -3 -0 -4 -0 -0 -0 10 11 21 12 12 24 20 23 43 25 24 49
Net investment income on unit-linked investments 19 46 64 49 79 128 0 0 0 0 0 0 0 0 0 0 0 0 19 46 64 49 79 128
Change in liabilities for investment contracts and other funds -1 -1 -2 -1 -1 -1 0 0 0 0 0 0 0 0 0 0 0 0 -1 -1 -2 -1 -1 -1
Re-/insurance finance income/(expenses) -24 -53 -77 -58 -86 -144 0 0 0 0 0 0 15 15 30 9 6 14 -9 -38 -47 -50 -80 -130
Net investment result 7 4 11 3 4 7 -3 -0 -4 -0 -0 -0 25 26 51 20 18 38 29 29 58 23 22 45
Fee income 0 0 0 0 0 0 2,266 2,311 4,577 2,273 2,464 4,737 0 0 0 0 0 0 2,266 2,311 4,577 2,273 2,464 4,737
Fee business expenses 0 -0 0 0 0 0 -1,250 -1,285 -2,535 -1,229 -1,401 -2,631 0 0 0 0 0 0 -1,250 -1,285 -2,535 -1,229 -1,401 -2,631
Fee result 0 -0 0 0 0 0 1,015 1,026 2,041 1,044 1,063 2,106 0 0 0 0 0 0 1,016 1,026 2,042 1,044 1,063 2,106
Other revenues 3 1 4 -0 -1 -1 25 35 60 23 37 60 1 1 2 1 1 2 29 38 67 24 37 61
Interest expense on debt -0 -0 -0 -0 -0 -0 -7 0 -7 0 0 0 0 -0 -0 -0 -0 -0 -7 -0 -7 -0 -0 -0
Other expenses -35 -29 -65 -37 -43 -79 -39 -47 -86 -46 -62 -108 -0 -0 -1 -0 -0 -1 -75 -77 -152 -83 -105 -188
Restructuring costs and other items not relevant for BOP 0 0 0 0 2 2 35 34 70 41 53 94 0 0 0 0 0 0 35 35 70 41 55 96
Other result -32 -28 -60 -37 -42 -78 14 23 37 17 28 46 1 1 2 0 0 1 -17 -4 -22 -19 -13 -32
Of which: technical non-qualifying expense -35 -29 -64 -36 -41 -77 -1 -1 -2 -1 -1 -2 -0 -0 -1 -0 -0 -1 -37 -30 -67 -38 -43 -80
Of which: other management related income/(expenses) -33 -30 -63 -30 -30 -59
Income tax (expense)/benefit attributable to policyholders (BOP relevant) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Business operating profit before non-controlling interests 8 11 20 1 -8 -7 1,026 1,048 2,074 1,061 1,091 2,152 81 111 192 93 150 243 1,115 1,171 2,286 1,154 1,233 2,387
Non-controlling interest 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Business operating profit 8 11 20 1 -8 -7 1,026 1,048 2,074 1,061 1,091 2,152 81 111 192 93 150 243 1,115 1,171 2,286 1,154 1,233 2,387
Additional information:
Gross management result 968 992 1,960 994 1,025 2,020
Ratios, as % of insurance revenue
Loss ratio 94.2% 91.3% 92.8% 88.0% 79.2% 83.5%
Expense ratio 0.1% 0.1% 0.1% 0.1% 0.1% 0.1%
Combined ratio 94.3% 91.4% 92.8% 88.1% 79.3% 83.6%
Insurance service result build-up for Farmers life for fiscal years 2024 and 2025
USD million Farmers Life
2024 2025
H1 H2 FY-24 H1 H2 FY-25
CSM amortization 31 34 65 38 38 75
Release of risk adjustment -0 -0 -0 0 -0 0
Insurance result - short-term life business 0 0 0 0 0 0
Insurance margin 30 34 65 38 38 76
Onerous contracts 1 1 1 0 1 1
Experience adjustments 2 1 2 -4 -9 -12
Insurance service result 33 36 69 34 30 64

Group Functions and Ops

Business operating profit breakdown by segment for fiscal years 2024 and 2025 (footnote: Group Functions and Operations.) (footnote: Includes only central initiatives.)
USD million 2024 2025
H1 H2 FY-24 H1 H2 FY-25
Business operating profit:
Holding and financing -210 -285 -496 -216 -267 -483
Headquarters -144 -211 -354 -175 -225 -400
Zurich global ventures -4 -16 -20 -7 -11 -17
Total business operating profit -358 -512 -870 -397 -502 -900

Investment Result and Yield

Investment result breakdown by asset class for fiscal years 2024 and 2025 (footnote: Net investment result on total investments.) (footnote: Includes change of ECL allowance.) (footnote: Investment income yield.)
USD million Net investment income Net capital gains/(losses) Net investment result
2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Group investments
Investment-related cash 25 24 49 19 16 35 0 0 0 0 0 0 25 24 49 19 16 35
Equity securities 211 203 414 225 238 463 1,102 383 1,485 395 1,115 1,510 1,313 586 1,899 621 1,352 1,973
Debt securities 2,303 2,296 4,599 2,249 2,442 4,690 -324 -121 -444 -118 48 -70 1,979 2,175 4,155 2,131 2,490 4,620
Investment property 246 225 471 214 222 436 -91 160 69 8 376 384 155 385 540 223 597 820
Mortgage loans 47 45 92 38 37 75 -0 -2 -2 0 -1 -1 46 43 90 38 36 74
Other financial assets 119 161 280 111 116 227 -1 62 61 1 -7 -6 119 223 341 112 109 221
Investments in associates and joint ventures 1 -5 -3 -4 -2 -6 0 0 0 0 -0 -0 1 -5 -3 -4 -2 -6
Derivative financial instruments -1 10 9 2 -0 2 -51 119 68 70 -36 34 -52 130 77 72 -36 37
Investment result, gross, for group investments 2,951 2,960 5,911 2,854 3,069 5,922 635 601 1,237 357 1,494 1,851 3,586 3,562 7,148 3,210 4,563 7,773
Investment expenses for group investments -89 -92 -181 -85 -94 -180 0 0 0 0 0 0 -89 -92 -181 -85 -94 -180
Foreign currency gains and losses 0 0 0 0 0 0 -112 -40 -153 -83 42 -41 -112 -40 -153 -83 42 -41
Investment result, net, for group investments 2,862 2,868 5,730 2,768 2,974 5,742 523 561 1,084 274 1,536 1,810 3,385 3,429 6,814 3,042 4,510 7,552
Investment result, net, for unit-linked contracts 660 665 1,325 690 712 1,402 9,058 6,001 15,059 1,974 11,419 13,393 9,718 6,666 16,384 2,664 12,131 14,795
Investment result, net, for total investments 3,522 3,533 7,055 3,458 3,686 7,144 9,581 6,562 16,143 2,248 12,955 15,203 13,103 10,095 23,198 5,706 16,641 22,348
Investment yield by segment for fiscal years 2024 and 2025 (footnote: Book yield calculated as weighted-average portfolio yield of debt securities during the period on an annual basis.) (footnote: Reinvestment yield calculated as weighted-average trade yield of purchased debt securities with maturity > 90 days during the period, based on transaction-level data, on an annual basis.) (footnote: 3.) (footnote: Investment income yield calculated based on average Group Investments (accounting view).)
USD million Property & Casualty Life Group
2024 2025 2024 2025 2024 2025
H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25 H1 H2 FY-24 H1 H2 FY-25
Book yield of debt securities (approximated) 3.5% 3.6% 3.6% 3.8% 3.9% 3.9% 2.9% 3.0% 3.0% 3.0% 3.0% 3.0% 3.2% 3.3% 3.2% 3.4% 3.4% 3.4%
Reinvestment yield of debt securities (approximated) 5.0% 5.0% 5.0% 4.7% 4.4% 4.5% 4.1% 3.8% 4.0% 3.4% 3.6% 3.5% 4.6% 4.5% 4.6% 4.1% 4.0% 4.0%
Investment income yield of total group investments, net of investment expenses 1.8% 1.9% 3.8% 1.9% 1.9% 3.9% 1.8% 1.7% 3.6% 1.7% 1.7% 3.4% 1.8% 1.8% 3.7% 1.7% 1.7% 3.5%

Investments

Total investments breakdown by asset class for fiscal years 2024 and 2025 (footnote: Portfolio Overview - additional information.)
USD billions 2024 2025
H1 H2 H1 H2
Total investments 165 161 175 178
Government and government guaranteed 32.8% 34.0% 33.3% 33.0%
Credit, private debt 43.3% 42.6% 43.4% 43.5%
Mortgages 2.6% 2.5% 2.5% 2.3%
Real estate 8.8% 8.0% 8.2% 7.9%
Equities 4.5% 4.3% 4.6% 5.1%
Hedge funds, private equity 2.5% 2.6% 2.5% 2.5%
Cash 5.3% 6.0% 5.4% 5.5%
Rating of fixed income securities breakdown by rating for fiscal years 2024 and 2025
USD billions 2024 2025
H1 H2 H1 H2
Rating of fixed income securities 125 123 135 136
- AAA 21.4% 21.2% 20.5% 20.5%
- AA 29.9% 31.5% 29.9% 25.4%
- A 19.1% 18.1% 18.4% 26.5%
- BBB 24.1% 23.5% 24.3% 20.1%
- Non-investment grade 5.5% 5.6% 6.8% 7.5%
- Unrated 0.0% 0.0% 0.0% 0.0%
Rating of government and government guaranteed securities breakdown by rating for fiscal years 2024 and 2025
USD billions 2024 2025
H1 H2 H1 H2
Rating of government & government guaranteed securities 54 55 58 59
- AAA 27.3% 26.6% 26.9% 27.3%
- AA 49.5% 51.1% 48.9% 39.4%
- A 5.2% 4.4% 3.4% 20.2%
- BBB 14.5% 14.9% 17.1% 9.3%
- Non-investment grade 3.5% 3.0% 3.8% 3.8%
- Unrated 0.0% 0.0% 0.0% 0.0%
Credit and private debt securities breakdown by rating for half-years 2024 and 2025
2024 2025
H1 H2 H1 H2
Rating of credit, private debt securities 71 68 76 77
AAA 16.9% 16.9% 15.6% 15.4%
AA 15.0% 15.9% 15.4% 14.7%
A 29.6% 29.2% 29.9% 31.3%
BBB 31.4% 30.4% 29.9% 28.3%
Non-investment grade 7.0% 7.6% 9.2% 10.3%
Unrated 0.0% 0.0% 0.0% 0.0%
Government and government guaranteed securities breakdown by country for half-years 2024 and 2025
2024 2025
H1 H2 H1 H2
Government and government guaranteed 54 55 58 59
USA 24.4% 24.6% 19.9% 19.7%
Italy 6.2% 6.0% 5.7% 6.4%
Germany 9.2% 8.6% 8.1% 7.5%
Spain 8.5% 8.4% 9.0% 8.5%
France 8.7% 9.0% 9.5% 8.3%
Switzerland 6.8% 7.2% 7.5% 7.7%
UK 5.9% 5.4% 5.4% 5.5%
Other 30.2% 30.7% 34.8% 36.3%
Credit and private debt breakdown by type for half-years 2024 and 2025
2024 2025
H1 H2 H1 H2
Credit and private debt 71 68 76 77
Non-financial credit 32.5% 31.7% 33.3% 33.5%
Financial credit 26.0% 26.4% 26.2% 25.6%
Municipals, agencies, state credit 16.8% 17.1% 16.2% 15.9%
Asset backed securities 8.4% 8.2% 7.6% 7.6%
Covered bonds 4.8% 5.0% 5.0% 4.6%
Other 11.6% 11.7% 11.8% 12.8%
Non-financial credit breakdown by sector for half-years 2024 and 2025 (footnote: Market value of the investment portfolio (economic view).) (footnote: Includes government and government guaranteed, credit and private debt exposure.)
2024 2025
H1 H2 H1 H2
Non-financial credit 23 22 25 26
Transport & utilities 28.2% 27.3% 27.1% 26.8%
Manufacturing 16.6% 17.4% 18.1% 18.0%
Telecom 14.7% 15.0% 14.5% 14.9%
Retail and consumer business 16.0% 16.1% 16.7% 16.4%
Chemicals & pharmaceuticals 10.8% 10.7% 10.5% 10.5%
Other 13.6% 13.4% 13.0% 13.3%

RoE, EPS and BVPS

Core ROE and NIAS ROE calculation for half-years and fiscal years 2024 and 2025 (footnote: Shares in issue.)
USD million 2024 2025
H1 H2 FY-24 H1 H2 FY-25
Core ROE calculation
BOP 3,988 3,763 7,751 4,227 4,629 8,856
Shareholders' effective tax rate (in %) 26.0% 24.1% 25.1% 26.3% 26.8% 26.6%
BOP after tax 2,951 2,855 5,804 3,115 3,386 6,500
NIAS 3,026 2,788 5,814 3,065 3,733 6,798
Average adjusted shareholders' equity 23,402 23,688 23,545 23,678 24,696 24,187
Core ROE (in %) 25.2% 24.1% 24.6% 26.3% 27.4% 26.9%
NIAS ROE (in %) 25.9% 23.5% 24.7% 25.9% 30.2% 28.1%
Shares in issue for half-years and fiscal years 2024 and 2025 (footnote: Business Operating Profit after tax divided by weighted average number of shares (diluted).)
USD million 2024 2025
H1 H2 FY-24 H1 H2 FY-25
Shares in issue
Common shares issued 146 146 146 146 146 146
Treasury shares 2 4 4 4 4 4
Common shares outstanding 144 142 142 143 142 142
Weighted average for basic EPS 144 143 144 143 143 143
Dilution impact 1 1 1 1 1 1
Weighted average for diluted EPS 145 144 145 144 144 144

Equity

Total equity rollforward for half-years and fiscal years 2024 and 2025 (footnote: Movement in shareholders' equity in period.) (footnote: Breakdown of shareholders' equity at end of period.)
USD million 2024 2025
H1 H2 FY-24 H1 H2 FY-25
Total equity, as previously reported 26,280 25,565 26,280 26,938 26,456 26,938
Non-controlling interests 1,419 1,446 1,419 1,466 1,731 1,466
Shareholders' equity 24,860 24,119 24,860 25,472 24,725 25,472
Issuance of share capital 0 0 0 0 0 0
Dividends to shareholders -4,156 0 -4,156 -4,665 0 -4,665
Treasury share transactions 121 -1,211 -1,090 166 -245 -80
NIAS 3,026 2,788 5,814 3,065 3,733 6,798
Change in discount rate for insurance/reinsurance contracts 571 -490 81 147 99 245
Change in fair value of underlying investment 932 -828 104 1,032 560 1,592
Net unrealized gains/(losses) on financial assets -1,402 1,257 -144 -495 -336 -830
CTA -3 -439 -442 390 -265 125
Net actuarial gains/(losses) on pension plans 232 136 368 -235 111 -123
Share-based payment transactions -62 138 76 -158 132 -26
Other -0 0 -0 6 1 7
Shareholders' equity 24,119 25,472 25,472 24,725 28,515 28,515
Non-controlling interests 1,446 1,466 1,466 1,731 1,651 1,651
Total equity, end of period 25,565 26,938 26,938 26,456 30,166 30,166
Total equity build-up for half-years 2024 and 2025 (footnote: Calculation of adjusted shareholders' equity for Core ROE.)
USD million 2024 2025
H1 H2 H1 H2
Share capital 11 11 11 11
Treasury shares -0 -0 -0 -0
Additional paid-in capital 1,272 1,410 1,240 1,372
Net unrealized gains/(losses) on financial assets -5,708 -4,448 -4,942 -5,278
Change in discount rate for insurance/reinsurance contracts 4,862 4,372 4,519 4,618
Change in fair value of underlying investment 1,985 1,158 2,190 2,750
Cumulative foreign currency translation adjustment -10,659 -11,103 -10,707 -10,964
Share of other comprehensive income of equity accounted investments -2 -3 -5 -4
Revaluation reserve 254 254 236 225
Retained earnings 32,104 33,823 32,184 35,786
Common shareholders' equity 24,119 25,472 24,725 28,515
Preferred securities 0 0 0 0
Shareholders' equity 24,119 25,472 24,725 28,515
Non-controlling interests 1,446 1,466 1,731 1,651
Total equity 25,565 26,938 26,456 30,166
Shareholders' equity rollforward by half-year for fiscal years 2024 and 2025 (footnote: Includes net unrealized gains/(losses) on financial assets, net change in discount rate for (re-)insurance contracts and net change in fair value of underlying items through OCI.)
USD million 2024 2025
H1 H2 FY-24 H1 H2 FY-25
Shareholders' equity at end of period 24,119 25,472 24,725 28,515
Net URG's/URL's -1,138 -1,078 -1,762 -2,085
Adjusted shareholders' equity at end of period 22,981 24,394 22,963 26,430
Average adjusted shareholders' equity of period 23,402 23,688 23,545 23,678 24,696 24,187

Currency Impact

Business operating profit and net income attributable to shareholders variance by currency for fiscal year 2025 (footnote: Group currency impact.) (footnote: Group.) (footnote: Property & Casualty.) (footnote: Life.) (footnote: Non-Core Businesses.) (footnote: Variance to the prior year period.)
USD million FY-25
Reported (in GC) In LC
In USD millions Variance in %1
Business operating profit 8,856 14.3% 14.3%
Net income attributable to shareholders 6,798 16.9% 16.7%
Gross written premiums 50,422 8.1% 7.4%
Insurance revenue 48,234 7.7% 6.7%
Insurance service result 4,545 29.8% 28.7%
Net investment income 2,635 5.3% 5.5%
Business operating profit 5,129 22.0% 21.3%
Insurance revenue 12,323 5.3% 4.2%
PVNBP 19,497 15.4% 14.0%
Business operating profit 2,288 2.4% 1.1%
Business operating profit -900 (3.4%) 3.6%
Business operating profit -48 53.6% 54.4%

Exchange Rates

Average foreign exchange rates for major currencies for fiscal years 2024 and 2025 (footnote: Principal exchange rates.)
Consolidated balance sheets at end-of-period exchange rates Consolidated income statements and cash flows at average exchange rates
12/31/24 12/31/25 12/31/24 12/31/25
Euro 1.0353 1.1741 1.0821 1.1301
Swiss franc 1.1035 1.2610 1.1365 1.2065
British pound 1.2520 1.3457 1.2781 1.3187
Brazilian real 0.1619 0.1827 0.1865 0.1791
Australian dollar 0.6189 0.6669 0.6599 0.6448
Japanese yen 0.0064 0.0064 0.0066 0.0067