EN
The main aim of the article is a description of financial situation of Non-life Insurance Companies in relation to macroeconomic circumstances. To examine the strength of correlation between the analyzed variables authors used Pearson's correlation coefficient. The analysis was realized among three groups of indicators characterizing the Insurance Companies depending on chosen macroeconomic variables. The analysis was performed on aggregated data for the entire non life insurance sector. The results are not unequivocal. It cannot be established an unitary process that has an influence on Non-Life Insurance Companies financial situation. But the indicators of the population economic situation may be distinguished as clearly correlated with Non-Life Insurance Companies financial situation.