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Parent company (Details 3) - CHF (SFr)
SFr in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Operating activities of continuing operations      
Net cash provided by/(used in) operating activities SFr 13,820 SFr 36,938 SFr (6,031)
Investing activities of continuing operations      
(Increase)/decrease in interest-bearing deposits with banks 885 (7) (519)
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 38,854 (8,895) 19,289
Purchase of investment securities (1,230) (630) (402)
Maturities of investment securities 229 184 184
Investments in subsidiaries and other investments (286) (2,049) (210)
Proceeds from sale of other investments 510 616 678
(Increase)/decrease in loans 14,634 (3,710) (8,029)
Proceeds from sale of loans 2,754 5,371 3,860
Capital expenditures for premises and equipment and other intangible assets (1,438) (1,419) (1,188)
Proceeds from sale of premises and equipment and other intangible assets 0 3 45
Other, net 586 454 113
Net cash provided by/(used in) investing activities 55,542 (10,082) 14,450
Financing activities of continuing operations      
Increase/(decrease) in due to banks and customer deposits (166,585) 1,217 24,618
Increase/(decrease) in short-term borrowings (7,587) (337) (5,246)
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions (7,487) (2,996) (1,534)
Issuances of long-term debt 64,153 56,552 58,009
Repayments of long-term debt (49,644) (52,965) (42,768)
Proceeds from issuance 3,924 0 0
Net sale and repurchase of treasury shares (229) (1,057) (889)
Dividends paid/capital repayments (280) (257) (716)
Other, net (148) (204) 7
Net cash provided by/(used in) financing activities (163,883) (47) 31,481
Effect of exchange rate changes on cash and due from banks      
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents (1,819) (1,103) (2,667)
Net increase/(decrease) in cash and due from banks      
Net increase/(decrease) in cash and due from banks (96,340) 25,706 37,233
Cash and due from banks at beginning of period [1] 164,818 139,112 101,879
Cash and due from banks at end of period [1] 68,478 164,818 139,112
Parent Company [Member]      
Operating activities of continuing operations      
Net cash provided by/(used in) operating activities (166) (286) (10)
Investing activities of continuing operations      
(Increase)/decrease in interest-bearing deposits with banks 3,693 (5,772) 1
Purchase of investment securities (16,101) (2,995) (12,644)
Maturities of investment securities 4,926 56 0
Investments in subsidiaries and other investments (4,059) (1,121) 0
Proceeds from sale of other investments 0 9 0
Capital expenditures for premises and equipment and other intangible assets (6) 0 0
Net cash provided by/(used in) investing activities (11,547) (9,823) (12,643)
Financing activities of continuing operations      
Increase/(decrease) in due to banks and customer deposits (225) 301 155
Increase/(decrease) in short-term borrowings (4,700) 0 0
Issuances of long-term debt 17,719 8,730 13,644
Repayments of long-term debt (4,926) (56) 0
Proceeds from issuance 3,914 1,661 0
Net sale and repurchase of treasury shares 212 (473) (462)
Dividends paid/capital repayments (280) (257) (716)
Other, net 20 (1) 60
Net cash provided by/(used in) financing activities 11,734 9,905 12,681
Effect of exchange rate changes on cash and due from banks      
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents 58 70 (28)
Net increase/(decrease) in cash and due from banks      
Net increase/(decrease) in cash and due from banks 79 (134) 0
Cash and due from banks at beginning of period 143 277 277
Cash and due from banks at end of period 222 143 SFr 277
Subsidiaries [Member]      
Net increase/(decrease) in cash and due from banks      
Cash and due from banks at beginning of period 143    
Cash and due from banks at end of period SFr 222 SFr 143  
[1] Includes restricted cash.