| Pakistan Reinsurance Company Limited |
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| Cash Flow
Statement |
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| For the year
ended 31 December 2004 |
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31 December |
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31 December |
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2004 |
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2003 |
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| Operating Cash Flows: |
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| Underwriting activities |
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| Premium
received |
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5,332,194,986 |
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3,319,463,561 |
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| Reinsurance premium paid |
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(2,775,447,711) |
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(1,795,523,594) |
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| Claims paid |
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(1,931,021,515) |
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(1,435,339,332) |
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| Reinsurance and other
recoveries received |
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669,976,684 |
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424,069,522 |
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| Commision paid |
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(924,012,334) |
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(288,853,461) |
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| Commision received |
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126,050,833 |
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69,381,108 |
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| Deposits received
from/paid to ceding companies |
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(116,116,736) |
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13,700,535 |
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| Expenses paid |
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(151,856,787) |
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(140,446,444) |
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| Net cash flows from
underwriting activities |
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229,767,420
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166,451,895
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Diff |
Adjustment by client |
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100,353,116 |
(100,353,116) |
55000000 |
| Other Operating
Activities |
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135,842,074 |
135,842,074 |
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| Income
tax paid |
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(80,788,670) |
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(9,428,926) |
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| General management
expenses paid |
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(19,725,339) |
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(16,451,741) |
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| Loans recovered from
employees |
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1,666,898 |
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1,582,943 |
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| Other
receipts |
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6,354,057
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80,577,634 |
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| Other payments - staff
contribution |
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(23,187,000) |
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(19,477,000) |
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| Net cash flows from other
operating activities |
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(115,680,054) |
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36,802,910 |
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| Total cash flow from all
operating activities |
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114,087,366 |
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203,254,805 |
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| Investment activities |
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| Fixed Capital expenditure |
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(1,849,856) |
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(2,287,770) |
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| Acquisition of
investments |
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(1,039,770,510) |
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(19,213,641) |
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| Rental income received |
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18,209,468 |
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9,984,700 |
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| Dividend income received |
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272,662,872 |
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181,433,014 |
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| Interest income on bank
deposits |
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2,559,108 |
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3,374,957 |
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| Investment income
received |
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195,298,277 |
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111,664,343 |
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| Sale proceeds of
investments |
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317,648,301 |
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- |
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| Total cash flow from
investment activities |
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(235,242,340) |
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284,955,603 |
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| Financing activities |
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| Surplus paid |
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(61,095) |
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(523,008) |
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| Dividend
paid |
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(111,720,998) |
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(67,367,302) |
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| Payments of finance
leases |
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(1,879,085) |
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(1,577,160) |
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| Total cash flows from
financing activities |
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(113,661,178) |
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(69,467,470) |
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| Net cash flow from all
activities |
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(234,816,152) |
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418,742,938 |
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| Cash and cash equivalents
at beginning of the year |
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549,610,334 |
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130,867,396 |
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| Cash and cash
equivalents at end of the year |
Rupees |
314,794,182
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549,610,334
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Imtiaz Kazi |
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Fazlur Rehman Dittu |
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Director |
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Director |
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31 December |
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31 December |
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2004 |
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2003 |
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| Reconciliation to profit
and loss account |
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| Operating cash flows |
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114,087,366 |
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203,254,805 |
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| Depreciation expense |
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(8,135,228) |
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(8,968,482) |
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| Exchange gain |
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25,078,440 |
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9,878,673 |
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| Provision for doubtful
debts/Litigation |
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(60,000,000) |
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(49,976,338) |
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| Amortization of deferred
cost |
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(1,192,945) |
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(596,472) |
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| Rental income |
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27,192,029 |
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11,899,686 |
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| Pension officers expense |
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(6,132,000) |
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(1,946,000) |
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| Pension staff expense |
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(8,597,000) |
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(6,516,000) |
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| Medical expense |
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(6,126,000) |
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(2,424,000) |
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| Gratuity expense |
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14,405,000 |
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1,657,000 |
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| Leave encashment |
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(1,925,000) |
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(5,050,000) |
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| Investment income |
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374,955,711 |
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332,810,882 |
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| Amortisation of premium |
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(17,319,229) |
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- |
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| Gain on sale of
investment |
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(2,889,213) |
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- |
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| (Decrease) / Increase in
operating assets other than cash |
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(195,298,277) |
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253,961,286 |
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| (Increase) / Decrease in
operating liabilities |
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58,075,000 |
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(371,942,889) |
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306,178,654
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366,042,151 |
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| Other adjustments: |
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| Decrease / (Increase) in
provision for diminution in |
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| value of investments |
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3,874,734 |
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(9,175,378) |
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| Income tax paid |
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80,788,670 |
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9,428,926 |
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84,663,404
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253,548 |
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| Profit before taxation |
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390,842,058
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366,295,699 |
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| Provision for taxation |
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(65,306,312) |
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(69,000,000) |
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| Profit after taxation |
Rupees |
325,535,746 |
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297,295,699 |
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- |
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- |
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| Cash and cash
equivalents: |
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Cash and other equivalent |
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83,229 |
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81,822 |
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Current and other accounts |
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313,010,953 |
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547,828,512 |
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| Deposit maturing within 12 months |
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1,700,000 |
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1,700,000 |
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Rupees |
314,794,182 |
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549,610,334 |
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Imtiaz Kazi |
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Fazlur Rehman Dittu |
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Director |
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Director |
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