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Debt issued designated at fair value
6 Months Ended
Jun. 30, 2023
Disclosure Of Financial Liabilities [Line Items]  
Disclosure Of Financial Instruments Designated At Fair Value Through Profit Or Loss Explanatory
Note
12
 
Debt issued designated at fair value
 
 
 
 
 
 
 
 
 
 
 
 
USD m
30.6.23
31.3.23
31.12.22
Issued debt instruments
Equity-linked
1
64,446
44,721
41,901
Rates-linked and fixed-rate
42,676
22,470
22,814
Credit-linked
7,655
2,815
2,170
Commodity-linked
4,234
4,311
4,294
Other
6,039
2,916
2,459
of which: debt that contributes to total loss-absorbing capacity
4,287
2,477
1,959
Total debt issued designated at fair value
2
125,050
77,233
73,638
of which: issued by UBS AG standalone with original maturity greater
 
than one year
3
64,047
60,268
57,750
of which: issued by Credit Suisse AG standalone with original maturity
 
greater than one year
3
34,814
of which: issued by Credit Suisse International standalone
 
with original maturity greater than one year
3
1,561
1 Includes investment fund unit-linked instruments issued.
 
2 Of which Credit Suisse: USD 42.4bn as of 30 June
 
2023.
 
3 Based on original contractual maturity without considering any
 
early redemption features.
As of 30 June 2023,
100
% of the balance was unsecured (31 March 2023:
100
%; 31 December 2022:
100
%).