For an optimal site experience, we recommend using a different browser.
Using Internet Explorer may prevent you from accessing, and some site features may not function as expected.

skip to main content

Investment Management

Information on the Company’s investment objective, investment management approach and sensitivity analysis to of the Company’s investment portfolio to currency risk and interest rate risk as well as the credit risk of investments can be found in Note 23 of the Financial Statements here.

Capital Management

The Company’s objectives in managing capital, the current capital adequacy ratio and minimum required capital ratio are described in Note 23(d) of the Financial Statements here.

Financial Performance

Information on the financial performance by line of business of the Company can be found in the annual return Form G1 – Statement of Premiums, Claims and Underwriting Results in respect of General Insurance Business published on the Monetary Authority of Singapore (MAS) website.