| Estados Financieros Comparados |
Actualizado al 17 de marzo de 2026 |
|
ESTADOS FINANCIEROS COMPARADOS / COMPARATIVE FINANCIAL STATEMENT
|
Seguros/INSURANCE
|
|
CIFRAS EXPRESADAS EN MILES DE SOLES
|
|
Empresa/Cuenta
|
Augustar Seguros y Reaseg
|
Avla Perú
|
BNP Paribas Cardif
|
Cesce Peru
|
Chubb Seguros
|
|
CIIU
|
66010
|
6512
|
66036
|
66036
|
6603
|
|
ESTADO DE SITUACION FINANCIERA / STATEMENT OF FINANCIAL POSITION
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
|
Efectivo y Equivalente de Efectivo / CASH AND DEPOSITS
|
137,685
|
187,773
|
35,924
|
24,520
|
138,129
|
173,366
|
786,146
|
12,035
|
65,464
|
115,923
|
|
Inversiones financieras (neto) / Financial Investments (Net)
|
55,018
|
70,112
|
60,226
|
24,783
|
95,183
|
89,962
|
420,506
|
81,382
|
113,217
|
119,550
|
|
Cuentas por Cobrar por Operaciones de Seguros (neto) / Accounts receivable from insurance transact.(net)
|
748
|
92,931
|
42,951
|
45,345
|
63,104
|
75,036
|
35,116
|
35,637
|
75,557
|
95,656
|
|
Menos: Cargas Aplicadas Sobre Polizas / Less: Charges applied to policies
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
-7,751
|
-8,762
|
|
Cuentas por Cobrar por Operaciones Sujetas a Riesgo Crediticio (neto) / Accounts receivable from transactions subject to credit risk
|
0
|
0
|
66
|
71
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Cuentas por Cobrar a Reaseguradores y Coaseguradores (neto) / Accounts receivable from reinsurers and coinsurers (net)
|
10,815
|
18,385
|
58,292
|
42,402
|
8,547
|
3,290
|
28,859
|
17,836
|
90,844
|
76,763
|
|
Activo por Reservas Técnicas a Cargo de Reaseguradoras
|
114,968
|
198,340
|
30,826
|
11,784
|
3,276
|
3,437
|
32,738
|
35,242
|
118,694
|
99,500
|
|
Cuentas por Cobrar Diversas (neto) / Sundry accounts receivable (net)
|
229
|
2,289
|
22,903
|
32,761
|
4,036
|
445
|
23,949
|
31,740
|
2,832
|
539
|
|
Cuentas por Cobrar por Productos Financieros Derivados para Negociación / Accounts receivable from financial derivatives for trading purposes
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Cuentas por Cobrar Productos Financieros Derivados con Fines de Cobertura / Accounts receivable from financial derivatives for hedging purposes
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Cuentas por Cobrar por Macro-coberturas / Accounts receivable from macro-hedging
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Gastos Contrados por Adelantado / Prepaid expenses
|
44
|
44
|
18,576
|
21,336
|
7,512
|
6,713
|
2,359
|
532
|
18,416
|
10,006
|
|
TOTAL ACTIVO CORRIENTE / TOTAL CURRENT ASSETS
|
319,507
|
569,874
|
269,764
|
203,002
|
319,787
|
352,249
|
1,329,673
|
214,404
|
477,273
|
509,175
|
|
Activos por Reservas Técnicas a cargo de reaseguradores
|
0
|
0
|
38,887
|
31,475
|
152
|
167
|
28,258
|
22,385
|
62,691
|
58,049
|
|
Inversiones Financieras (neto) / Financial Investments (Net)
|
221,079
|
202,623
|
14,258
|
4,750
|
478,950
|
471,817
|
15,965
|
10,653
|
70,974
|
80,804
|
|
Inversiones en Inmuebles (neto) / Investments in immovable property (net)
|
0
|
0
|
0
|
1,129
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Inmuebles, Muebles y Equipo (neto) / Property, furniture and equipment (net)
|
514
|
607
|
750
|
692
|
2,957
|
2,685
|
740
|
875
|
4,400
|
4,816
|
|
Activos Intangibles (Neto) / Intangible assets (net)
|
4,755
|
3,494
|
10,991
|
9,000
|
26,827
|
35,333
|
0
|
0
|
2,534
|
1,603
|
|
Activo por Impuesto a las ganancias / Deferred income tax assets
|
0
|
0
|
15,637
|
6,918
|
0
|
0
|
20,637
|
12,865
|
0
|
0
|
|
Activo no Corrientes Mantenidos para la Venta (neto)
|
0
|
0
|
44,978
|
54,058
|
0
|
0
|
2,798
|
2,798
|
0
|
0
|
|
Otros Activos / Other assets
|
1,029
|
6,759
|
5,626
|
5,418
|
1,953
|
1,986
|
1,328
|
1,438
|
0
|
0
|
|
TOTAL ACTIVO / TOTAL ASSETS
|
546,884
|
783,357
|
400,891
|
316,442
|
830,626
|
864,237
|
1,399,399
|
265,418
|
617,872
|
654,447
|
|
Tributos, Participaciones y Ctas. por Pagar Diversas / Taxes, profit sharing and other accounts payable
|
1,431
|
21,694
|
12,643
|
6,946
|
77,995
|
71,243
|
1,114,252
|
22,648
|
23,090
|
27,654
|
|
Cuentas por Pagar por Productos Financieros Derivados para Negociación / Accounts payable due to financial derivatives for trading purposes
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Cuentas por Pagar por Productos Financieros Derivados con Fines de Cobertura / Accounts payable due to financial derivatives for hedging purposes
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Cuentas por Pagar por Macro-Coberturas / Accounts payable due to macro-hedging
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Obligaciones Financieras / Financial liabilities
|
0
|
0
|
0
|
16,013
|
0
|
0
|
0
|
634
|
0
|
0
|
|
Cuentas por Pagar a Intermediarios, Comercializadores y Auxiliares / Accounts payable to brokers and assistants
|
686
|
616
|
7,306
|
5,036
|
36,372
|
17,447
|
0
|
0
|
32,801
|
27,171
|
|
Cuentas por Pagar a Asegurados / Accounts payable to insured
|
0
|
0
|
6,029
|
5,081
|
18,920
|
15,306
|
1,383
|
1,090
|
1,385
|
1,352
|
|
Cuentas por Pagar a Reaseguradores y Coaseguradores (neto) / Accounts payable to reinsurers and coinsurers (net)
|
932
|
65,501
|
93,517
|
73,977
|
9,780
|
4,077
|
65,066
|
51,208
|
107,083
|
139,623
|
|
Reservas Técnicas por Siniestros / Technical reserves for claims
|
223,750
|
399,545
|
38,166
|
16,168
|
101,954
|
149,512
|
41,876
|
45,705
|
146,280
|
129,714
|
|
TOTAL PASIVO CORRIENTE / TOTAL CURRENT LIABILITIES
|
226,799
|
487,356
|
157,661
|
123,221
|
245,021
|
257,585
|
1,222,577
|
121,285
|
310,639
|
325,514
|
|
Obligaciones Financieras / Financial liabilities
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Reservas Técnicas por Siniestros / Technical reserves for claims
|
0
|
0
|
3,363
|
3,994
|
925
|
0
|
0
|
0
|
8,744
|
9,786
|
|
Reservas Técnicas por Primas / Technical reserves for premiums
|
20,632
|
17,528
|
63,106
|
50,589
|
194,881
|
203,509
|
46,145
|
39,249
|
120,438
|
126,827
|
|
Otros Pasivos (neto) / Other provisions (net)
|
2,727
|
2,966
|
62,111
|
39,225
|
5,060
|
6,207
|
2,325
|
2,324
|
0
|
0
|
|
Pasivos Diferidos / Deferred profits
|
0
|
0
|
10,673
|
10,721
|
16,325
|
11,849
|
506
|
473
|
32,708
|
44,024
|
|
Pasivo por Impuesto a las Ganancias Diferido / Deferred income tax liabilities
|
0
|
0
|
1,117
|
3,914
|
4,061
|
3,834
|
0
|
0
|
125
|
116
|
|
TOTAL PASIVO / TOTAL LIABILITIES
|
250,158
|
507,850
|
298,031
|
231,664
|
466,273
|
482,984
|
1,271,553
|
163,331
|
472,654
|
506,267
|
|
Capital Social / Capital stock
|
254,992
|
136,091
|
94,825
|
83,590
|
248,772
|
248,772
|
36,019
|
32,744
|
76,568
|
76,568
|
|
Capital Adicional / Additional capital
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Reservas / Reserves
|
19,206
|
4,678
|
1,136
|
15,123
|
12,476
|
43,961
|
12,607
|
11,461
|
22,749
|
19,064
|
|
Acciones en Tesorería / Treasury shares
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Instrumentos Financieros Compuestos
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Ajustes al patrimonio / Equity adjustments
|
8,976
|
1,309
|
1,637
|
52
|
21,785
|
16,724
|
116
|
-20
|
707
|
198
|
|
Resultados Acumulados / Retained earnings
|
-5,008
|
-11,856
|
-6,987
|
-17,394
|
23,549
|
0
|
17,089
|
9,379
|
10,851
|
15,508
|
|
Resultado del Ejercicio / Period's results
|
18,560
|
145,285
|
12,249
|
3,407
|
57,771
|
71,796
|
62,015
|
48,523
|
34,343
|
36,842
|
|
TOTAL PATRIMONIO / TOTAL EQUITY
|
296,726
|
275,507
|
102,860
|
84,778
|
364,353
|
381,253
|
127,846
|
102,087
|
145,218
|
148,180
|
|
TOTAL PASIVO Y PATRIMONIO / TOTAL LIABILITIES AND EQUITY
|
546,884
|
783,357
|
400,891
|
316,442
|
830,626
|
864,237
|
1,399,399
|
265,418
|
617,872
|
654,447
|
|
ESTADO DE RESULTADOS / INCOME STATEMENT
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
31/12/2025
|
31/12/2024
|
|
Primas de Seguros (Neto) / Insurance premiums (net)
|
33,197
|
597,693
|
222,187
|
172,648
|
510,265
|
579,675
|
205,905
|
170,734
|
248,676
|
228,492
|
|
Reaseguro Aceptado (Neto) / Accepted reinsurance (net)
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
110,604
|
101,840
|
|
Ajuste de Reservas Técnicas de Primas de Seg. y Reaseg. Aceptado / Adjustments to technical reserves for accepted insurance and re-insurance premiums
|
-7,097
|
-5,074
|
-15,620
|
-20,130
|
5,842
|
21,254
|
-8,322
|
-6,889
|
-3,023
|
1,631
|
|
TOTAL PRIMAS NETAS DEL EJERCICIO / TOTAL NET PREMIUMS FOR FISCAL YEAR
|
26,100
|
592,619
|
206,567
|
152,518
|
516,107
|
600,929
|
197,583
|
163,845
|
356,257
|
331,963
|
|
Primas Cedidas Netas / Ceded premiums (net)
|
-9,158
|
-251,481
|
-131,660
|
-98,779
|
-28,701
|
-28,004
|
-112,214
|
-89,950
|
-178,322
|
-151,617
|
|
Ajuste de Reservas Técnicas de Primas Cedidas / Adjustment to technical reserves for ceded premiums
|
0
|
0
|
9,397
|
14,391
|
-15
|
48
|
6,905
|
3,268
|
9,613
|
-667
|
|
TOTAL PRIMAS CEDIDAS NETAS DEL EJERCICIO / TOTAL CEDED PREMIUMS
|
-9,158
|
-251,481
|
-122,263
|
-84,388
|
-28,716
|
-27,956
|
-105,309
|
-86,682
|
-168,709
|
-152,284
|
|
PRIMAS GANADAS NETAS / NET PREMIUMS EARNED
|
16,942
|
341,138
|
84,304
|
68,130
|
487,391
|
572,973
|
92,274
|
77,163
|
187,548
|
179,679
|
|
Siniestros de primas de seguros (netos) / Insurance premium claims (net)
|
0
|
-336,399
|
-81,352
|
-100,238
|
-59,967
|
-73,747
|
-48,130
|
-44,450
|
-85,684
|
-89,044
|
|
Siniestros de reaseguros aceptados (netos) / Accepted reinsurance claims (net)
|
0
|
0
|
0
|
0
|
0
|
-65
|
0
|
0
|
-21,575
|
-22,747
|
|
Siniestros de primas cedidas (netos) / Ceded premiums claims
|
-863
|
152,628
|
59,331
|
67,937
|
6,192
|
4,288
|
38,166
|
33,153
|
86,783
|
84,299
|
|
Recuperos y Salvamentos / Recovery and salvage
|
0
|
0
|
12,725
|
13,650
|
0
|
0
|
0
|
0
|
618
|
698
|
|
SINIESTROS INCURRIDOS (NETOS) / CLAIMS INCURRED (NET)
|
-863
|
-183,771
|
-9,296
|
-18,651
|
-53,775
|
-69,524
|
-9,964
|
-11,297
|
-19,858
|
-26,794
|
|
Ajuste de Reservas para Riesgos Catastróficos / Adjustment to reserves for catastrophe risk
|
1,177
|
-3,499
|
78
|
-2,914
|
10,682
|
-8,544
|
0
|
0
|
-593
|
-148
|
|
RESULTADO TECNICO BRUTO / GROSS TECHNICAL PROFTIS
|
17,256
|
153,868
|
75,086
|
46,565
|
444,298
|
494,905
|
82,310
|
65,866
|
167,097
|
152,737
|
|
Comisiones sobre Primas de Seguros (netas) / Commissions on insurance premiums (net)
|
-2,136
|
-319
|
-18,460
|
-13,101
|
-311,061
|
-355,809
|
-14,294
|
-11,992
|
-62,752
|
-50,081
|
|
Comisiones sobre Reaseguro Aceptado (netas) / Commissions on accepted reinsurance (net)
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
-2,951
|
-2,870
|
|
Comisiones de Primas Cedidas (netas) / Commissions of ceded premiums (net)
|
0
|
0
|
3,829
|
2,098
|
0
|
0
|
0
|
0
|
0
|
0
|
|
COMISIONES (NETAS) / FEES (NET)
|
-2,136
|
-319
|
-14,631
|
-11,003
|
-311,061
|
-355,809
|
-14,294
|
-11,992
|
-65,703
|
-52,951
|
|
Ingresos Técnicos Diversos / Sundry technical income
|
6,360
|
24,623
|
9,632
|
1,675
|
761
|
750
|
30,712
|
17,223
|
292
|
272
|
|
Gastos Técnicos Diversos / Sundry technical expenses
|
-2,870
|
-2,855
|
-7,767
|
-3,796
|
-10,571
|
-16,421
|
-32,113
|
-29,675
|
-16,098
|
-16,233
|
|
Ingresos (Egresos) Diversos, neto / Sundry income (expenses), net
|
0
|
0
|
0
|
4,770
|
0
|
0
|
9,379
|
7,133
|
0
|
0
|
|
RESULTADO TÉCNICO / TECHNICAL PROFITS
|
18,610
|
175,317
|
62,320
|
38,211
|
123,427
|
123,425
|
75,994
|
48,555
|
85,588
|
83,825
|
|
Ingresos de Inversiones y Otros Ingresos Financieros / Investment income and other financial income
|
23,059
|
17,305
|
41,877
|
23,733
|
45,656
|
46,695
|
49,403
|
53,488
|
13,032
|
14,891
|
|
Gastos de inversiones y financieros. / Investment expenses and other financial expenses
|
-1,356
|
-585
|
-27,114
|
-3,755
|
-2,695
|
-2,044
|
-1
|
-241
|
-1,866
|
-1,798
|
|
Provisiones para activos no corrientes mantenidos para la venta / Provisions for non-current assets held for sale
|
0
|
0
|
148
|
-33
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Diferencia de Cambio (neto) / Exchange rate difference (net)
|
-5,033
|
607
|
-190
|
-1,245
|
350
|
-441
|
-2,331
|
371
|
-12,386
|
-3,388
|
|
RESULTADO DE INVERSIONES / INVESTMENTS PROFITS
|
16,670
|
17,327
|
14,721
|
18,700
|
43,311
|
44,210
|
47,071
|
53,618
|
-1,220
|
9,705
|
|
Gastos de Administración (Neto de Ingresos por Servicios y Otros) / Administrative expenses (net of service income and others)
|
-14,245
|
-20,455
|
-64,638
|
-55,536
|
-80,798
|
-74,399
|
-30,430
|
-28,919
|
-45,215
|
-43,176
|
|
RESULTADO DE OPERACIÓN ANTES DE IMPUESTO / RESULT BEFORE INCOME TAX
|
21,035
|
172,189
|
12,403
|
1,375
|
85,940
|
93,236
|
92,635
|
73,254
|
39,153
|
50,354
|
|
Impuesto a las Ganancias / Income Tax
|
-2,475
|
-26,904
|
-154
|
2,032
|
-28,169
|
-21,440
|
-30,620
|
-24,731
|
-4,810
|
-13,512
|
|
UTILIDAD (PÉRDIDA) NETA DEL EJERCICIO / PERIOD'S NET PROFIT (LOSS)
|
18,560
|
145,285
|
12,249
|
3,407
|
57,771
|
71,796
|
62,015
|
48,523
|
34,343
|
36,842
|
|
INDICADORES FINANCIEROS / FINANCIAL RATIOS
|
31/12/2025
|
31/12/2025
|
31/12/2025
|
31/12/2025
|
31/12/2025
|
|
Liquidez / Liquid Ratio
|
1.41
|
|
1.71
|
|
1.31
|
|
1.09
|
|
1.54
|
|
|
Liquidez Efectiva
|
0.61
|
|
0.23
|
|
0.56
|
|
0.64
|
|
0.21
|
|
|
Siniestralidad Total
|
0.00
|
|
0.37
|
|
0.12
|
|
0.23
|
|
0.30
|
|
|
Apalancamiento
|
0.46
|
|
0.74
|
|
0.56
|
|
0.91
|
|
0.76
|
|
|
Solvencia / Solvency
|
1.19
|
|
0.35
|
|
0.78
|
|
0.10
|
|
0.31
|
|
|
Rentabilidad sobre Activos % / Return on Assets %
|
3.39
|
|
3.06
|
|
6.96
|
|
4.43
|
|
5.56
|
|
|
Rentabilidad de Patrimonio % / Return on Equity %
|
6.25
|
|
11.91
|
|
15.86
|
|
48.51
|
|
23.65
|
|
|
* Estados Financieros expresados en miles de US$
|
|
|
|