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LLB Annual Report 2022 de

Notes to the consolidated off-balance sheet transactions

Information checkedInformation unaudited Information geprüft Information ungeprüft Notes to the consolidated off-balance sheet transactions

35Contingent liabilities

in CHF thousands

31.12.2022

31.12.2021

+ / – %

Collateral guarantees and similar instruments

22'622

24'845

– 8.9

Performance guarantees and similar instruments

39'818

35'247

13.0

Total contingent liabilities

62'440

60'093

3.9

36Credit risks

in CHF thousands

31.12.2022

31.12.2021

+ / – %

Irrevocable commitments

782'745

727'203

7.6

Deposit and call liabilities

13'891

13'639

1.8

Total credit risks

796'636

740'842

7.5

37Fiduciary transactions

in CHF thousands

31.12.2022

31.12.2021

+ / – %

Fiduciary deposits with other banks

98'663

58'425

68.9

Other fiduciary financial transactions

2'940

3'176

– 7.4

Total fiduciary transactions

101'603

61'600

64.9

38Lending and pension transactions with securities

The LLB has lent or pledged securities from its own possession. These are recognised in LLB’s balance sheet and recorded in the table below. Furthermore, securities owned by third parties which LLB received as collateral and in some cases has repledged or resold are reported in the table. These are not recognised in LLB’s balance sheet.

 

 

 

 

 

 

31.12.2022

31.12.2021

in CHF thousands

Carrying amount

Actual liability

Carrying amount

Actual liability

Self-owned securities lent or delivered as collateral within the scope of securities lending or borrowing transactions, or self-owned securities transferred in connection with repurchase agreements

250'677

258'712

838'911

840'587

of which capable of being resold or further pledged without restrictions

250'677

258'712

833'431

835'000

Securities received as collateral within the scope of securities lending or securities received in connection with reverse repurchase agreements, which are capable of being resold or further pledged without restrictions

100'645

100'005

0

0

of which resold or further pledged securities

0

0

0

0