Table 2.

Summary statistic of the varied financial performance indicators of GIC Re

YearPR
(in %)
ER
(in %)
ROA
(in %)
RRR
(in %)
CR
(in %)
2002–200371.6029.222.2370.56115.60
2003–200469.5527.906.3186.02100.20
2004–200580.2528.421.0285.40113.20
2005–2006107.9925.702.2791.35128.30
2006–200756.4232.015.3771.10101.40
2007–200872.3329.672.7677.60112.80
2008–200983.9923.094.6996.84102.80
2009–201078.1224.774.0582.94109.70
2010–201182.0521.192.0881.71111.40
2011–2012111.3719.08−4.5983.10142.70
2012–201379.4621.703.9188.31106.50
2013–201491.6317.553.3692.70110.30
2014–201585.8222.143.4589.30109.00
2015–201678.7823.163.5782.30107.40
2016–201771.7421.243.2979.5499.70
2017–201887.5617.432.9391.14103.80
No. of obs.1616161616
Minimum56.4217.55−4.5970.5699.70
Maximum111.3732.016.3196.84142.70
Mean81.7924.022.9284.37110.93
SD13.744.452.397.3711.04

Notes:

“PR” – Performance Ratio; “ER” – Expense Ratio; “ROA” – Return on Assets; “RRR” – Risk Retention Ratio; “CR” – Combined Ratio

Source: Authors own tabulation using MS-Excel

or Create an Account

Close Modal
Close Modal