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Statement of Cash Flows (unaudited)
Statement of Cash Flows (unaudited)

Search only in Quarterly Reporting Q2 2005
For the six-month period ended

CHF million

30.6.05

30.6.04


Cash flow from/ (used in) operating activities

Net profit

5,126

4,522

Adjustments to reconcile net profit to cash flow from/ (used in) operating activities

Non-cash items included in net profit and other adjustments:

  Depreciation of property and equipment

775

728

  Amortization of goodwill and other intangible assets

160

461

  Credit loss expense / (recovery)

(206)

(130)

  Equity in income of associates

(83)

(94)

  Deferred tax expense / (benefit)

43

255

  Net loss / (gain) from investing activities

(480)

(291)

  Net loss / (gain) from financing activities

567

97

Net (increase) / decrease in operating assets:

  Net due from / to banks

1,229

6,592

  Reverse repurchase agreements and cash collateral on securities borrowed

(126,891)

(61,861)

  Trading portfolio and net replacement values

(73,137)

(10,162)

  Loans / due to customers

22,459

(2,336)

  Accrued income, prepaid expenses and other assets

(3,044)

(8,649)

Net increase / (decrease) in operating liabilities:

  Repurchase agreements, cash collateral on securities lent

130,918

48,037

  Accrued expenses and other liabilities

10,966

22,629

  Income taxes paid

(1,301)

(752)

 

Net cash flow from/ (used in) operating activities

(32,899)

(954)


Cash flow from/ (used in) investing activities

Investments in subsidiaries and associates

(392)

(852)

Disposal of subsidiaries and associates

631

279

Purchase of property and equipment

(665)

(677)

Disposal of property and equipment

301

478

Net (investment in) / divestment of financial investments

(489)

399

 

Net cash flow from/ (used in) investing activities

(614)

(373)


Cash flow from/ (used in) financing activities

Net money market paper issued / (repaid)

29,768

22,494

Net movements in treasury shares and own equity derivative activity

895

(2,435)

Capital issuance

1

1

Dividends paid

(3,105)

(2,806)

Issuance of long-term debt, including financial liabilities designated at fair value

34,269

34,846

Repayment of long-term debt, including financial liabilities designated at fair value

(12,258)

(16,779)

Increase in minority interests

1,546

55

Dividend payments to / purchase from minority interests

(359)

(205)

 

Net cash flow from/ (used in) financing activities

50,757

35,171

Effects of exchange rate differences

6,412

947

 

Net increase / (decrease) in cash and cash equivalents

23,656

34,791

Cash and cash equivalents, beginning of the period

87,091

73,356

 

Cash and cash equivalents, end of the period

110,747

108,147

 

Cash and cash equivalents comprise:

Cash and balances with central banks

3,653

6,543

Money market paper1

64,766

65,988

Due from banks maturing in less than three months

42,328

35,616

 

Total

110,747

108,147

 

Cash paid for interest was CHF 18,547 million and CHF 10,877 million during first half 2005 and first half 2004, respectively.

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