b'PROMUTUEL RASSURANCESTATEMENT OF FINANCIAL POSITIONAs at December 31, 20242024 2023$ $(in thousands of Canadian dollars)ASSETSCash and InvestmentsCash and cash equivalents 16,314 8,219Investments at fair value through profit or loss 390,021 340,037Loans 752 884Interest in an associate - 14407,087 349,154Accounts receivable 440 1,160Assets under insurance and reinsurance contracts issued - 255Assets under insurance and reinsurance contrats held 37,703 38,450Prepaid expenses 51 78Tangible capital assets - 158Deferred income tax 898 511Total assets 446,179 389,766rt o Rep al u n n A 844 2 0 2 |'