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We build business networks and relationships ... - skupina kd group

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KD Holding Group<br />

Notes to Consolidated Financial Statements as at <strong>and</strong> for the year ended 31 December 2007<br />

Financial life insurance contracts with DPF in 2006<br />

(in EUR)<br />

Carrying<br />

amount<br />

No stated<br />

maturity<br />

Contractual cash flows (undiscounted)<br />

0 - 5 years 5 - 10 years 10 - 15 years 15 - 20 years More than 20 years<br />

Debt securities 10,173,696 - 4,342,993 3,946,466 3,384,522 127,477 2,128,561<br />

At fair value through P&L 293,937 - 179,109 195,023 - - -<br />

Listed securities 293,937 - 179,109 195,023 - - -<br />

- fixed interest rate 293,937 - 179,109 195,023 - - -<br />

Available for sale 9,879,759 - 4,163,884 3,751,443 3,384,522 127,477 2,128,561<br />

Listed securities 1,273,923 - 408,287 983,994 282,891 49,456 -<br />

- fixed interest rate 1,273,923 - 408,287 983,994 282,891 49,456 -<br />

Government bonds 8,605,836 - 3,755,597 2,767,449 3,101,631 78,021 2,128,561<br />

- fixed interest rate 8,605,836 - 3,755,597 2,767,449 3,101,631 78,021 2,128,561<br />

Equity securities 3,318,246 3,318,246 - - - - -<br />

At fair value through P&L 1,233,570 1,233,570 - - - - -<br />

Listed securities 1,233,570 1,233,570 - - - - -<br />

Available for sale 2,084,676 2,084,676 - - - - -<br />

Listed securities 1,921,481 1,921,481 - - - - -<br />

Unlisted securities 163,195 163,195 - - - - -<br />

Loans <strong>and</strong> receivables 213,833 - 213,833 - - - -<br />

Cash <strong>and</strong> cash equivalents 54,679 - 54,679 - - - -<br />

Total assets 13,760,454 3,318,246 4,611,505 3,946,466 3,384,522 127,477 2,128,561<br />

(in EUR)<br />

Carrying<br />

amount<br />

No stated<br />

maturity<br />

Expected cash flows (undiscounted)<br />

0 - 5 years 5 - 10 years 10 - 15 years 15 - 20 years More than 20 years<br />

Liabilities<br />

Insurance contracts with DPF 11,610,103 - 5,449,606 6,603,094 5,390,420 3,269,165 5,213,896<br />

Total liabilities 11,610,103 - 5,449,606 6,603,094 5,390,420 3,269,165 5,213,896<br />

261<br />

Difference between<br />

contractual <strong>and</strong> expected<br />

cash flows<br />

- 3,318,246 (838,101) (2,656,628) (2,005,898) (3,141,688) (3,085,335)<br />

Mean duration of assets<br />

Mean duration of liabilities<br />

7.6 years<br />

10 years

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