Efter aflæggelse af Q3 regnskabet afholdte Trygs ledelse med analytikerne, deres investorpræsentation som kan ses via dette link. Her har man mulighed for at høre Q&A med analytikerne efter ledelsens indledende præsentation.
Tryg indleder præsentationen sådan:
Financial highlights Q3 2020
– Higher technical result of DKK 980m, good top line development and improved core business
– Investment income of DKK 237m driven by positive equity markets and narrowing credit spreads
– Solvency ratio of 214, as mentioned on March 27 FY dividend decision as opposed to quarterly in 2020
Pre-tax profit of DKK 1,150m (DKK 779m) driven by:
•Technical result of DKK 980m driven by good top-line development and improved core business
•Investment income of DKK 237m characterized by highly positive equity markets and narrowing credit spreads
•Solvency ratio of 214 at the end of Q3, strong organic capital generation drives the move from 193 in Q2







