37.2.1 Accounting policy
Treasury shares purchased and retained by consolidated PZU Group entities are shown at purchase price. The “Supplementary capital” item includes:
Results of the following are posted in the “Revaluation reserve” item:
The item “Actuarial gains and losses related to provisions for employee benefits” includes amounts resulting from increases or decreases in the present value of the defined benefit obligation because of changes in actuarial assumptions and experience adjustments – demographic (e.g. mortality, employee turnover) and financial (e.g. discount rate or projected salary growth rate).
“Foreign exchange translation differences” include differences resulting from translation of financial data of foreign entities using exchange rates, in accordance with the rules described in section 5.5.
37.2.2 Quantitative data
Other capital | 31 December 2017 | 31 December 2016 |
Treasury stock | - | (1) |
Supplementary capital | 11,824 | 10,758 |
Share premium account | 538 | 538 |
Distribution of results of PZU Group companies | 11,231 | 10,106 |
Other | 55 | 114 |
Revaluation reserve | 157 | 106 |
Measurement of financial instruments available for sale | 78 | 25 |
Reclassification of real property from property, plant and equipment to investment property | 85 | 89 |
Entities measured by the equity method | 1 | 1 |
Cash flow hedging | (7) | (9) |
Other reserve capital | 5 | 5 |
Actuarial gains and losses related to provisions for employee benefits | 4 | 3 |
Foreign exchange translation differences | (73) | (2) |
Lietuvos Draudimas AB | (13) | 40 |
AAS Balta | - | 12 |
PZU Ukraine | (51) | (49) |
PZU Ukraine Life | (10) | (8) |
Other | 1 | 3 |
Total other capital | 11,917 | 10,869 |
Change in the revaluation reserve resulting from remeasurement of financial instruments available for sale | 1 January – 31 December 2017 | 1 January – 31 December 2016 |
Beginning of the period | 25 | 129 |
Changes | 53 | (104) |
- change in fair value | 132 | (130) |
- sale | (79) | 26 |
End of the period | 78 | 25 |