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NN Group is tracked as a listed insurance-led financial-services group, headquartered in Netherlands. NN Group's differentiated editorial value is its parent/brand map: the listed NN Group parent spans insurance, pensions, banking and investments while Nationale-Nederlanden and other brands hold operating identities. The source pack supports a guide focused on reading those boundaries correctly.

Source-reviewed company references

NN Group: Full-year results

Reference type
Full-year results
Reporting period
FY2025/2H 2025
Line / segment
NN Group consolidated
Market
Netherlands
Reviewed
July 11, 2026

Operating capital generation was EUR 2.1 billion, free cash flow was EUR 1.6 billion, and the Solvency II ratio was 220%.

Why it matters: This card anchors the full-year results part of the NN Group source pack and preserves the stated disclosure scope.

HTTP 200; retain metric definitions, currency, period, and group scope; no solvency conclusion.

HTTP 200; retain metric definitions, currency, period, and group scope; no solvency conclusion.

NN Group: Annual report/SFCR library

Reference type
Annual report/SFCR library
Reporting period
FY2025
Line / segment
NN Group N.V. consolidated annual report and separately labeled group SFCR
Market
Netherlands
Reviewed
July 11, 2026

Supports audited annual-report and regulatory-report trails.

Why it matters: This card anchors the annual report/sfcr library part of the NN Group source pack and preserves the stated disclosure scope.

HTTP 200; the annual report and SFCR retain different measurement scopes.

HTTP 200; the annual report and SFCR retain different measurement scopes.

NN Group: Exchange/listing

Reference type
Exchange/listing
Reporting period
Current listing
Line / segment
NN Group N.V., ISIN NL0010773842, Euronext Amsterdam
Market
Netherlands
Reviewed
July 11, 2026

Supports listed-parent identity and insurance classification.

Why it matters: This card anchors the exchange/listing part of the NN Group source pack and preserves the stated disclosure scope.

HTTP 200; price and performance data are excluded.

HTTP 200; price and performance data are excluded.

NN Group: Official corporate profile

Reference type
Official corporate profile
Reporting period
Current profile
Line / segment
Group brands and operations across Europe and Japan
Market
Netherlands
Reviewed
July 11, 2026

Supports insurance, pensions, banking and investment scope, approximately 18 million customers, and the operating-brand map.

Why it matters: This card anchors the official corporate profile part of the NN Group source pack and preserves the stated disclosure scope.

HTTP 200; mixed financial-services scope must remain visible.

HTTP 200; mixed financial-services scope must remain visible.

NN Group: Ratings

Reference type
Ratings
Reporting period
Current rating/action table
Line / segment
NN Group N.V. counterparty rating versus named insurer financial-strength rating
Market
Netherlands
Reviewed
July 11, 2026

Supports issuer-versus-operating-insurer distinction.

Why it matters: This card anchors the ratings part of the NN Group source pack and preserves the stated disclosure scope.

HTTP 200; ratings are opinions, not recommendations or rankings.

HTTP 200; ratings are opinions, not recommendations or rankings.

Full company reference archive

View the complete source-reviewed company reference archive, including reporting periods, source dates, reviewed dates, methodology notes, reader cautions, and official source links.

Business And Entity Overview

Qualifies with FY2025 annual/SFCR library, full-year results, ratings, corporate profile, and Euronext support. The profile is bounded to NN Group N.V and the consolidated or parent scope identified by each source. It does not transfer group figures automatically to every licensed insurer, branch, brand, or other subsidiary.

Source-Reviewed Evidence

  • Annual report/SFCR library (FY2025). Supports audited annual-report and regulatory-report trails. Scope: NN Group N.V. consolidated annual report and separately labeled group SFCR. Caution: HTTP 200; the annual report and SFCR retain different measurement scopes.
  • Full-year results (FY2025/2H 2025). Operating capital generation was EUR 2.1 billion, free cash flow was EUR 1.6 billion, and the Solvency II ratio was 220%. Scope: NN Group consolidated. Caution: HTTP 200; retain metric definitions, currency, period, and group scope; no solvency conclusion.
  • Ratings (Current rating/action table). Supports issuer-versus-operating-insurer distinction. Scope: NN Group N.V. counterparty rating versus named insurer financial-strength rating. Caution: HTTP 200; ratings are opinions, not recommendations or rankings.
  • Official corporate profile (Current profile). Supports insurance, pensions, banking and investment scope, approximately 18 million customers, and the operating-brand map. Scope: Group brands and operations across Europe and Japan. Caution: HTTP 200; mixed financial-services scope must remain visible.
  • Exchange/listing (Current listing). Supports listed-parent identity and insurance classification. Scope: NN Group N.V., ISIN NL0010773842, Euronext Amsterdam. Caution: HTTP 200; price and performance data are excluded.

Entity Boundary

Treat NN Group N.V. as the listed parent and consolidated reporting group; distinguish Nationale-Nederlanden and other operating brands, the banking activities, and named rated insurance entities.

Lines And Geographic Context

The reviewed source pack supports connections to Life and Health, Property and Casualty. Netherlands is the home-jurisdiction reference; other geographies require their own segment or legal-entity support.

Why This Profile Exists

Keeping the 5 reviewed source cards together gives readers a stable route from corporate identity to periodic reporting, capital or regulatory context, and public listing or profile evidence. The profile does not present a score, comparison table, or commercial recommendation.

Reader Note

This profile is source-led reference material. Periodic figures retain the source's metric label, unit, reporting period, and entity scope. Ratings, regulatory measures, listing records, and issuer-defined measures are contextual evidence, not standalone judgments about financial strength, suitability, security value, product choice, pricing, or available insurance capacity.