Liquidity risk

With reference to non-life segment, the table here below shows the amount of gross direct claims and unearned premiums reserves split by remaining maturity. The total liability is broken down by remaining duration in proportion to the cash flows expected to arise during each duration band.

Non life insurance provisions: maturity
 
Gross direct amount
(€ million) 31.12.2011 31.12.2010
Up to 1 year 14,063.7 13,588.7
Between 1 and 5 years 11,161.2 11,691.3
Between 6 and 10 years 4,039.2 4,212.7
Between 11 and 20 years 3,539.1 3,063.8
More than 20 years 0.0 0.0
Total 32,803.2 32,556.4