Bar chartLine chartTable viewSwap key figures/periodIndexed figuresAbsolute figuresSelect key figuresIncome statementNet premiums earnedUnderwriting costInsurance expense ratioNet operating expensesOperating cost ratioUnderwriting resultCombined ratioEarnings from investmentsReturn on Invested CapitalConsolidated earningsAdd allDelete allIncome statement KVGNet premiums earnedUnderwriting costInsurance expense ratioNet operating expensesOperating cost ratioUnderwriting resultCombined ratioEarnings from investmentsConsolidated earningsAdd allDelete allIncome statement VVGNet premiums earnedUnderwriting costInsurance expense ratioNet operating expensesOperating cost ratioUnderwriting resultCombined ratioEarnings from investmentsConsolidated earningsAdd allDelete allIncome statement UVGNet premiums earnedUnderwriting costInsurance expense ratioNet operating expensesOperating cost ratioUnderwriting resultCombined ratioEarnings from investmentsConsolidated earningsAdd allDelete allConsolidated cash flow statementfrom operating activitiesfrom investment activitiesfrom financing activitiesTotal cash flowAdd allDelete allBalance sheetBalance sheet totalCurrent assetsCurrent assets ratioNon-current assetsNon-current assets ratioProvisions ratioLiabilitiesDebt ratioEquityEquity ratioAdd allDelete allEmployeesEmployees at year-endFull time equivalent at year-endAdd allDelete allSelect period2019202020212022Add allDelete allPNGXLSPrintCreated with Highcharts 7.2.2CHF thousand (bar)% (line)Income statementUnderwriting resultCombined ratioEarnings from investmentsReturn on Invested CapitalConsolidated earnings2019202020212022-800,0000800,0001,600,000-1000100200Show full screen