Statement of Financial Position
As at December 31, 2025
2025 2024
(in thousands of Canadian dollars)
$
$
ASSETS
Investments
Cash
17,344
16,314
Investments at fair value through profit or loss
415,004
390,021
Loans
631
752
432,979
407,087
Accounts receivable
390
440
Current tax assets
607
-
Reinsurance contract assets held
24,431
37,703
Prepaid expenses
104
51
Deferred tax assets
1,184
898
Total assets
459,695
446,179
PROMUTUEL RÉASSURANCE
2025 – ANNUAL REPORT  
48

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