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53. Notes to other inflows and outflows from operating activities
Other inflows from operating activities | 1 January – 31 December 2014 | 1 January – 31 December 2013 |
Suspense accounts including outstanding contributions of fund members of PPE IKE and IP programmes |
1,046,982 |
272,694 |
Inflows from the core business of non-insurance companies |
524,014 |
568,423 |
Tax refunds (i.a. CIT, VAT) |
106,621 |
140,205 |
Inflows from the liquidation of the additional part of the Guarantee Fund of PZU OPF |
132,267 |
- |
Other |
261,169 |
266,973 |
Total |
2,071,053 |
1,248,295 |
Other operating outflows | 1 January – 31 December 2014 | 1 January – 31 December 2013 |
Suspense accounts including outstanding contributions of fund members of PPE, IKE and IP programmes |
1,049,504 |
272,371 |
Gross premiums returns |
438,798 |
503,028 |
Costs of the core business of non-insurance companies |
607,718 |
498,996 |
Donations made |
31,446 |
34,171 |
Taxes |
283,339 |
35,056 |
Other |
521,938 |
389,658 |
Total |
2,932,743 |
1,733,280 |