Corporate Bond Portfolio and Investment Analysis slide image

Corporate Bond Portfolio and Investment Analysis

Other Sensitivity Analysis Equity Prices 10% Fall 10% Rise Interest Rates 50 bps Decrease CSM (Net of Reinsurance) (1.3)% 50 bps Increase (1.2)% +1.2% +1.5% (2.8)% Shareholders' Allocated Equity Group LCSM Coverage Ratio (0.3)% +0.3% Note: Calculated based on position as at 30 Jun 2023 for CSM (net of reinsurance), shareholders' allocated equity and Group LCSM coverage ratio; 1H23 for profit before tax +2.7% (4) pps +3 pps (8) pps +9 pps AIA 67
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