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| COMPAÑIAS DE SEGUROS |
| ESTADO DE RESULTADOS
ACUMULADOS DEL 1ERO DE ENERO AL |
31 DE MAYO DE 2003 |
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| (En Miles de Córdobas) |
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CONCEPTO / PERIODO |
Guia |
AMERICA |
% |
SEGUROSSA |
% |
INISER |
% |
METROPOLITANA |
% |
PACIFICO |
% |
TOTAL |
% |
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de % |
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INGRESOS POR PRIMAS |
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| 1 |
Ingreso Neto de
Primas |
1/1 |
104,710 |
100 |
30,398 |
100 |
177,442 |
100 |
41,783 |
100 |
32,305 |
100 |
386,638 |
100 |
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| 2 |
(-) Primas x Reas. y
Reaf. Cedido |
2/1 |
62,086 |
59 |
9,871 |
32 |
67,459 |
38 |
25,155 |
60 |
20,111 |
62 |
184,682 |
48 |
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| 3 |
Primas Retenidas |
3/1 |
42,624 |
41 |
20,528 |
68 |
109,983 |
62 |
16,627 |
40 |
12,194 |
38 |
201,956 |
52 |
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| 4 |
VARIAC. DE RESERV. TEC X RETENCIÓN |
4/3 |
11,982 |
28 |
3,479 |
17 |
7,290 |
7 |
1,476 |
9 |
358 |
3 |
24,585 |
12 |
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| 5 |
Margen para
Siniestros y Gtos. de Operación |
5/1 |
30,642 |
29 |
17,049 |
56 |
102,693 |
58 |
15,151 |
36 |
11,836 |
37 |
177,371 |
46 |
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COSTOS DE SINIESTRALIDAD |
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| 6 |
Siniestralidad Neta |
6/1 |
41,087 |
39 |
10,912 |
36 |
57,237 |
32 |
38,171 |
91 |
3,057 |
9 |
150,464 |
39 |
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| 7 |
Neto Recup. por
Reaseguros/Reafianzamiento |
7/2 |
24,911 |
40 |
5,225 |
53 |
14,537 |
22 |
29,164 |
116 |
981 |
5 |
74,818 |
41 |
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| 8 |
Costo de
Siniestralidad por Retención |
8/3 |
16,176 |
38 |
5,687 |
28 |
42,700 |
39 |
9,006 |
54 |
2,075 |
17 |
75,644 |
37 |
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| 9 |
Gastos por Exceso de
Pérdida Catastróficas |
9/3 |
4,457 |
10 |
8,031 |
39 |
10,576 |
10 |
911 |
5 |
1,868 |
15 |
25,843 |
13 |
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| 10 |
Total Costos + Gastos
Exc Pérdida (Neto) |
10/3 |
20,633 |
48 |
13,718 |
67 |
53,276 |
48 |
9,917 |
60 |
3,943 |
32 |
101,487 |
50 |
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| 11 |
Margen para Gastos de
Operación |
11/1 |
10,009 |
10 |
3,331 |
11 |
49,417 |
28 |
5,234 |
13 |
7,893 |
24 |
75,884 |
20 |
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GASTOS OPERACIONALES |
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| 12 |
Gastos de Adquisición
y Renovación |
12/1 |
8,053 |
8 |
1,942 |
6 |
25,012 |
14 |
6,208 |
15 |
4,244 |
13 |
45,459 |
12 |
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| 13 |
Gastos de
Administración |
13/1 |
17,080 |
16 |
5,822 |
19 |
37,328 |
21 |
11,025 |
26 |
6,019 |
19 |
77,274 |
20 |
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| 14 |
Total Gastos de
Operación |
14/1 |
25,132 |
24 |
7,764 |
26 |
62,340 |
35 |
17,232 |
41 |
10,263 |
32 |
122,731 |
32 |
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| 15 |
(-) Comisión por
Reaseg y Reaf Cedido |
15/2 |
12,971 |
21 |
4,005 |
41 |
14,299 |
21 |
6,627 |
26 |
2,383 |
12 |
40,285 |
22 |
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| 16 |
Gastos Netos
Operacionales |
16/3 |
12,161 |
29 |
3,759 |
18 |
48,041 |
44 |
10,605 |
64 |
7,880 |
65 |
82,446 |
41 |
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| 17 |
Utilidad (Pérdida)
Operación |
17/3 |
-2,152 |
-5 |
-428 |
-2 |
1,377 |
1 |
-5,372 |
-32 |
12 |
0 |
-6,563 |
-3 |
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PRODUCTOS Y GASTOS FINANCIEROS |
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| 18 |
Productos Financieros |
18/1 |
2,135 |
2 |
2,280 |
8 |
11,540 |
7 |
2,877 |
7 |
1,277 |
4 |
20,109 |
5 |
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| 19 |
(-) Gastos
Financieros |
19/1 |
752 |
1 |
1,373 |
5 |
8,291 |
5 |
430 |
1 |
389 |
1 |
11,235 |
3 |
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| 20 |
Utilidad (Pérdida)
Productos y Gtos Netos Fin. |
20/1 |
1,383 |
1 |
907 |
3 |
3,250 |
2 |
2,448 |
6 |
887 |
3 |
8,875 |
2 |
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ING. Y EGR. X VARIAC. TIPO DE CAMBIO |
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| 21 |
Ingresos por Variac.
en el Tipo de Cambio |
21/1 |
2,916 |
3 |
1,837 |
6 |
12,319 |
7 |
3,538 |
8 |
1,940 |
6 |
22,550 |
6 |
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| 22 |
(-) Egresos por
Variac. en el Tipo de Cambio |
22/1 |
2,628 |
3 |
1,132 |
4 |
9,899 |
6 |
2,318 |
6 |
815 |
3 |
16,792 |
4 |
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| 23 |
Utilidad (Pérdida)
por Variac Tipo de Cambio Neto |
23/1 |
289 |
0 |
705 |
2 |
2,420 |
1 |
1,220 |
3 |
1,125 |
3 |
5,759 |
1 |
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OTROS PRODUCTOS Y GASTOS |
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| 24 |
Otros Productos |
24/1 |
1,773 |
2 |
951 |
3 |
23,071 |
13 |
824 |
2 |
779 |
2 |
27,398 |
7 |
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| 25 |
(-) Otros Gastos |
25/1 |
0 |
0 |
79 |
0 |
22,264 |
13 |
140 |
0 |
118 |
0 |
22,601 |
6 |
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| 26 |
Utilidad (Pérdida)
Otros Productos y Gtos Netos |
26/1 |
1,773 |
2 |
871 |
3 |
807 |
0 |
684 |
2 |
660 |
2 |
4,795 |
1 |
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0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
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| 27 |
Utilidad (Pérdida) Neta a IR |
27/1 |
1,292 |
1 |
2,056 |
7 |
7,854 |
4 |
-1,020 |
-2 |
2,685 |
8 |
12,867 |
3 |
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| 28 |
(-) Impuesto S/Renta |
28/1 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
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| 29 |
UTILIDAD (PÉRDIDA) NETA DESPUES DEL IR ACUMULADO |
29/1 |
1,292 |
1 |
2,056 |
7 |
7,854 |
4 |
-1,020 |
-2 |
2,685 |
8 |
12,867 |
3 |
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| Las
pequeñas diferencias que se presentan son por redondeo de cifras |
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Inicio de Operaciones: |
America Dic/96 |
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Metropolitana Dic/96 |
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| *
BALANCES NO AUDITADOS |
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Segurossa Dic/97 |
Pacifico Mar/97 |
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Iniser Dic/98 |
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T/Cambio al 05/31/2003:15.0292 |
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