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Consolidated statement of cash flows (unaudited)

Information unaudited Information ungeprüft Consolidated statement 
of cash flows

in CHF thousands

Note

First half 2024

First half 2023

Cash flow from / (used in) operating activities

 

 

 

Interest received

 

259'198

187'845

Interest paid

 

– 191'505

– 97'518

Fees and commission received

 

160'610

156'685

Fees and commission paid

 

– 42'014

– 57'415

Trading income

 

89'299

82'121

Dividends received from financial investments

4

6'264

6'226

Other income

 

3'175

459

Payments for personnel, general and administrative expenses

 

– 191'863

– 154'760

Income tax paid

 

– 7'021

– 4'688

Cash flow from operating activities, before changes in operating assets and liabilities

 

86'143

118'956

Due from / to banks

 

– 284'825

– 554'732

Loans / due to customers

 

– 369'974

124'724

Other assets

 

– 13'277

3'805

Other liabilities

 

15'260

19'301

Changes in operating assets and liabilities

 

– 652'815

– 406'902

Net cash flow from / (used in) operating activities

 

– 566'672

– 287'946

 

 

 

 

Cash flow from / (used in) investing activities

 

 

 

Purchase of property and equipment

 

– 7'481

– 2'989

Purchase of other intangible assets

 

– 6'552

– 5'404

Purchase of financial investments

 

– 509'915

– 448'511

Disposal of financial investments

 

223'579

420'074

Purchase of non-current assets held for sale

 

0

– 9'272

Sale of non-current assets held for sale

 

3'331

0

Net cash flow from / (used in) investing activities

 

– 297'038

– 46'102

 

 

 

 

Cash flow from / (used in) financing activities

 

 

 

Purchase of treasury shares

 

– 7'439

0

Dividends paid

 

– 82'565

– 76'654

Dividends paid to non-controlling interests

 

– 134

– 280

Increase in non-controlling interests

 

8

0

Repayment of lease liabilities

 

– 3'173

– 2'822

Issuance of debt

 

210'713

191'086

Repayment of debt

 

– 56'768

– 35'241

Net cash flow from / (used in) financing activities

 

60'641

76'089

 

 

 

 

Effects of foreign currency translation on cash and cash equivalents

 

40'923

– 10'857

 

 

 

 

Net increase / (decrease) in cash and cash equivalents

 

– 762'146

– 268'817

 

 

 

 

Cash and cash equivalents at beginning of the period

 

6'706'886

7'079'415

Cash and cash equivalents at end of the period

 

5'944'740

6'810'598

 

 

 

 

Cash and cash equivalents comprise:

 

 

 

Cash and balances with central banks

 

5'586'320

6'364'040

Due from banks (due daily)

 

358'420

446'557

Total cash and cash equivalents

 

5'944'740

6'810'598