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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