Our Performance and Reports
Financial
Business MIX
FY 2023

Capital Adequacy Ratio

Technical Reserves & Equity

Financial Highlight of Financial Year 2021 and 2023
  FY 2021 FY 2022 FY 2023
Gross Premium S$ 216M S$ 297M S$ 221M
Profit Before Tax S$ 25M -S$ 8M S$ 37M***
Capital Adequacy Ratio 323% 297% 295%
Paid Up Capital S$ 50M S$ 50M S$ 50M
Total Assets S$ 706M S$ 866M S$ 930M
Investible Funds S$ 706M S$ 686M S$ 722M