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Key figures

Information checkedInformation unaudited Information geprüft Information ungeprüft Key figures

Consolidated income statement

in CHF millions

First half 2022

First half 2021

+ / – %

Income statement

 

 

 

Operating income

241.9

231.8

4.4

Operating expenses

– 154.5

– 150.7

2.5

Net profit

75.9

71.1

6.8

 

 

 

 

Performance figures

 

 

 

Cost Income Ratio (in per cent) 1

62.8

65.1

 

Return on equity attributable to the shareholders of LLB (in per cent)

7.2

6.6

 

1 Definition available under www.llb.li/investors-apm

Consolidated balance sheet and capital management

in CHF millions

30.06.2022

31.12.2021

+ / – %

Balance sheet

 

 

 

Total equity

2'006

2'240

– 10.5

Total assets

26'138

25'129

4.0

 

 

 

 

Capital ratio

 

 

 

Tier 1 ratio (in per cent) 1

18.4

20.3

 

Risk-weighted assets

9'028

8'904

1.4

1 Corresponds to the CET ratio 1 because the LLB Group has solely hard core capital

Additional information

in CHF millions

First half 2022

First half 2021

+ / – %

Net new money 1

2'509

2'748

– 8.7

 

 

 

 

 

 

 

 

in CHF millions

30.06.2022

31.12.2021

+ / – %

Business volume (in CHF millions) 1

98'393

105'698

– 6.9

Assets under management (in CHF millions) 1

84'215

91'892

– 8.4

Loans (in CHF millions)

14'178

13'805

2.7

Employees (full-time equivalents, in positions)

1'065

1'056

0.9

1 Definition available under www.llb.li/investors-apm