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LLB Annual Report 2025 de

Information unaudited Information ungeprüftKey figures

Consolidated income statement

in CHF millions

2025

2024

+/- %

Income statement

Operating income

611.6

565.8

8.1

Operating expenses

– 410.4

– 369.5

11.1

Net profit

166.5

167.2

– 0.4

Performance figures

Cost Income Ratio (in per cent) 1

67.0

66.4

Return on equity (in per cent) 1

7.3

7.7

1Definition available under llb.li/investors-apm

Consolidated balance sheet and capital management

in CHF millions

31.12.2025

31.12.2024

+/- %

Balance sheet

Total equity 1

2’357

2’215

6.4

Total assets 1

28’318

27’664

2.4

Capital ratio

Tier 1 ratio (in per cent) 1/2

19.0

18.7

Risk-weighted assets 1

10’270

9’908

3.7

1The previous year was restated. Information can be found in point 1.2 in the Accounting principles.

2Corresponds to the CET ratio 1 because the LLB Group has solely hard core capital

Additional information

in CHF millions

2025

2024

+/- %

Net new money 1

3’703

2’789

32.8

in CHF millions

31.12.2025

31.12.2024

+/- %

Business volume (in CHF millions) 1

125’875

113’472

10.9

Assets under management (in CHF millions) 1

108’861

96’983

12.2

Loans (in CHF millions)

17’014

16’489

3.2

Employees (full-time equivalents, in positions)

1’294

1’286

0.6

1Definition available under llb.li/investors-apm