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2011 STATEMENT OF REVENUE AND EXPENSES - 004
96911 - Harvard Pilgrim Hlth Care Inc
Quarter 3

Line Uncovered Current Year to Date Total Current Year to Date Total Prior Year to Date Total Prior Year Ended December 31
01 Member months   3,501,590 3,776,945 5,050,247
02 Net premium income (including $0 non-health premium income)   1,540,313,061 1,712,094,115 2,301,976,475
03 Change in unearned premium reserves and reserve for rate credits   0 0 0
04 Fee-for-service (net of $0 medical expenses)   0 0 0
05 Risk revenue   0 0 0
06 Aggregate write-ins for other health care related revenues   0 0 0
07 Aggregate write-ins for other non-health revenues   0 0 0
08 Total revenues   1,540,313,061 1,712,094,115 2,301,976,475
09 Hospital/medical benefits (hospital and medical) 0 1,049,783,576 1,184,997,025 1,573,096,165
10 Other professional services (hospital and medical) 0 40,838,201 78,876,425 104,032,906
11 Outside referrals (hospital and medical) 0 25,776,567 24,266,274 35,340,596
12 Emergency room and out-of-area (hospital and medical) 0 27,919,453 32,888,219 45,717,395
13 Prescription drugs (hospital and medical) 0 166,390,371 188,617,547 250,807,012
14 Aggregate write-ins for other hospital and medical (hospital and medical) 0 0 0 0
15 Incentive pool, withhold adjustments and bonus amounts (hospital and medical) 0 29,562,674 26,962,993 32,926,548
16 Subtotal (hospital and medical) 0 1,340,270,842 1,536,608,483 2,041,920,622
17 Net reinsurance recoveries (less) 0 624,725 630,554 857,572
18 Total hospital and medical (less) 0 1,339,646,117 1,535,977,929 2,041,063,050
19 Non-health claims (net) (less) 0 0 0 0
20 Claims adjustment expenses, including $12417276 cost containment expenses (less) 0 27,271,615 47,397,602 43,889,897
21 General administrative expenses (less) 0 120,644,471 114,884,360 178,336,867
22 Increase in reserves for life and accident and health contracts (including $0 increase in reserves for life only) (less) 0 0 0 0
23 Total underwriting deductions 0 1,487,562,203 1,698,259,891 2,263,289,814
24 Net underwriting gain or (loss)   52,750,858 13,834,224 38,686,661
25 Net investment income earned 0 11,997,628 14,938,459 19,685,837
26 Net realized capital gains (losses) less capital gains tax of $0 0 3,872,641 -8,085,281 -7,548,543
27 Net investment gains or (losses) 0 15,870,269 6,853,178 12,137,294
28 Net gain or (loss) from agents' or premium balances charged off [(amount recovered $0 (amount charged off $0] 0 0 0 0
29 Aggregate write-ins for other income or expenses 0 -2,152,974 -4,556,794 -6,575,825
30 Net income or (loss) after capital gains tax and before all other federal income taxes   66,468,153 16,130,608 44,248,130
31 Federal and foreign income taxes incurred   0 0 0
32 Net income (loss)   66,468,153 16,130,608 44,248,130
Details of Write-Ins
0601     0 0 0
0602     0 0 0
0603     0 0 0
0699     0 0 0
0701     0 0 0
0702     0 0 0
0703     0 0 0
0799     0 0 0
1401   0 0 0 0
1402   0 0 0 0
1403   0 0 0 0
1499   0 0 0 0
2901 Miscellaneous & Other Income/(expense) 0 -2,152,974 -4,556,794 -6,575,825
2902   0 0 0 0
2903   0 0 0 0
2999   0 -2,152,974 -4,556,794 -6,575,825

 

2011 STATEMENT OF REVENUE AND EXPENSES (Continued) - 005
96911 - Harvard Pilgrim Hlth Care Inc
Quarter 3

Line Current Year to Date Prior Year to Date Prior Year Ended December 31
33 Capital and surplus prior reporting year 412,724,331 381,955,672 381,955,672
34 Net income or (loss) from Line 32 66,468,153 16,130,608 44,248,130
35 Change in valuation basis of aggregate policy and claim reserves 0 0 0
36 Change in net unrealized capital gains (losses) less capital gains tax of $0 -5,213,455 29,737,243 34,808,925
37 Change in net unrealized foreign exchange capital gain or (loss) 0 0 0
38 Change in net deferred income tax 0 0 0
39 Change in nonadmitted assets -13,264,982 -16,951,941 -38,573,500
40 Change in unauthorized reinsurance 0 0 0
41 Change in treasury stock 0 0 0
42 Change in surplus notes -9,736,173 -9,736,172 -9,714,896
43 Cumulative effect of changes in accounting principles 0 0 0
44.1 Paid in (capital changes) 0 0 0
44.2 Transferred from surplus (stock dividend) (capital changes) 0 0 0
44.3 Transferred to surplus (capital changes) 0 0 0
45.1 Paid in (surplus adjustments) 0 0 0
45.2 Transferred to capital (stock dividend) (surplus adjustments) 0 0 0
45.3 Transferred from capital (surplus adjustments) 0 0 0
46 Dividends to stockholders 0 0 0
47 Aggregate write-ins for gains or (losses) in surplus 0 0 0
48 Net change in capital and surplus 38,253,543 19,179,738 30,768,659
49 Capital and surplus end of reporting period 450,977,874 401,135,410 412,724,331
Details of Write-Ins
4701 Other 0 0 0
4799   0 0 0

 

Last Updated: November 23, 2011