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Derivatives and hedging activities (Tables)
12 Months Ended
Dec. 31, 2023
Fair value of derivative instruments
Fair value of derivative instruments
  TradingHedging1

end of 2023

Notional
amount
Positive
replacement
value (PRV)
Negative
replacement
value (NRV)

Notional
amount
Positive
replacement
value (PRV)
Negative
replacement
value (NRV)
Derivative instruments (CHF billion)   
Forwards and forward rate agreements1,238.70.00.00.00.00.0
Swaps4,321.113.212.4118.40.00.0
Options bought and sold (OTC)446.95.05.20.00.00.0
Futures86.60.00.00.00.00.0
Options bought and sold (exchange-traded)2.70.00.00.00.00.0
Interest rate products 6,096.018.217.6118.40.00.0
Forwards278.63.34.922.60.20.6
Swaps287.39.311.00.00.00.0
Options bought and sold (OTC)49.81.31.40.00.00.0
Futures0.40.00.00.00.00.0
Options bought and sold (exchange-traded)1.40.00.00.00.00.0
Foreign exchange products 617.513.917.322.60.20.6
Forwards0.10.00.00.00.00.0
Swaps10.20.60.20.00.00.0
Options bought and sold (OTC)70.12.63.60.00.00.0
Futures7.70.00.00.00.00.0
Options bought and sold (exchange-traded)122.55.75.10.00.00.0
Equity/index-related products 210.68.98.90.00.00.0
Credit derivatives 2156.41.01.50.00.00.0
Forwards3.70.10.10.00.00.0
Swaps4.80.60.10.00.00.0
Options bought and sold (OTC)4.00.10.10.00.00.0
Futures0.60.00.00.00.00.0
Options bought and sold (exchange-traded)1.20.00.00.00.00.0
Other products 314.30.80.30.00.00.0
Total derivative instruments 7,094.842.845.6141.00.20.6
The notional amount, PRV and NRV (trading and hedging) was CHF 7,235.8 billion, CHF 43.0 billion and CHF 46.2 billion, respectively, as of December 31, 2024.
1
Relates to derivative contracts that qualify for hedge accounting under US GAAP.
2
Primarily credit default swaps.
3
Primarily precious metals, commodity and energy products.
Fair value of derivative instruments (continued)
  TradingHedging1

end of 2022

Notional
amount
Positive
replacement
value (PRV)
Negative
replacement
value (NRV)

Notional
amount
Positive
replacement
value (PRV)
Negative
replacement
value (NRV)
Derivative instruments (CHF billion)   
Forwards and forward rate agreements2,088.21.71.70.00.00.0
Swaps9,140.324.321.7130.10.11.8
Options bought and sold (OTC)644.48.28.60.00.00.0
Futures144.90.00.00.00.00.0
Options bought and sold (exchange-traded)35.90.00.00.00.00.0
Interest rate products 12,053.734.232.0130.10.11.8
Forwards701.48.710.017.70.10.2
Swaps353.514.313.50.00.00.0
Options bought and sold (OTC)167.52.52.70.00.00.0
Futures4.10.00.00.00.00.0
Options bought and sold (exchange-traded)2.80.00.00.00.00.0
Foreign exchange products 1,229.325.526.217.70.10.2
Forwards0.30.00.00.00.00.0
Swaps22.80.90.70.00.00.0
Options bought and sold (OTC)181.45.27.50.00.00.0
Futures42.00.00.00.00.00.0
Options bought and sold (exchange-traded)469.318.918.50.00.00.0
Equity/index-related products 715.825.026.70.00.00.0
Credit derivatives 2352.03.23.40.00.00.0
Forwards6.90.10.10.00.00.0
Swaps9.50.70.40.00.00.0
Options bought and sold (OTC)8.80.10.10.00.00.0
Futures12.60.00.00.00.00.0
Options bought and sold (exchange-traded)2.70.10.00.00.00.0
Other products 340.51.00.60.00.00.0
Total derivative instruments 14,391.388.988.9147.80.22.0
The notional amount, PRV and NRV (trading and hedging) was CHF 14,539.1 billion, CHF 89.1 billion and CHF 90.9 billion, respectively, as of December 31, 2022.
1
Relates to derivative contracts that qualify for hedge accounting under US GAAP.
2
Primarily credit default swaps.
3
Primarily precious metals, commodity and energy products.
Fair value hedges
Gains or (losses) on fair value hedges
in202320222021
Interest rate products (CHF million)   
Hedged items 14854,6771,523
Derivatives designated as hedging instruments 1(557)(4,355)(1,448)
The accrued interest on fair value hedges is recorded in net interest income and is excluded from this table.
1
Included in net interest income.
Hedged items in fair value hedges
  20232022
  Hedged itemsHedged items

end of
Carrying
amount
Hedging
adjustments
1Discontinued
hedges
2Carrying
amount
Hedging
adjustments
1Discontinued
hedges
2
Assets (CHF billion)   
Investment securities0.00.00.00.8(0.1)0.0
Net loans40.80.8(1.6)29.0(1.3)(0.7)
Liabilities (CHF billion)   
Long-term debt64.10.6(3.7)72.0(1.0)(4.4)
1
Relates to the cumulative amount of fair value hedging adjustments included in the carrying amount.
2
Relates to the cumulative amount of fair value hedging adjustments remaining for any hedged items for which hedge accounting has been discontinued.
Cash flow hedges
Cash flow hedges
in202320222021
Interest rate products (CHF million)   
Gains/(losses) recognized in AOCI on derivatives407(474)(314)
Gains/(losses) reclassified from AOCI into interest and dividend income(299)1,0187
Foreign exchange products (CHF million)
Gains/(losses) recognized in AOCI on derivatives14(56)(9)
Total other operating expenses3(60)34
Gains/(losses) reclassified from AOCI into income3(60)34
Net investment hedges
Net investment hedges
in202320222021
Foreign exchange products (CHF million)   
Gains/(losses) recognized in the cumulative translation adjustments section of AOCI(497)(15)51
Gains/(losses) reclassified from the cumulative translation adjustments section of AOCI into other revenues400
Credit protection sold/purchased
Credit protection sold/purchased
  20232022

end of

Credit
protection
sold

Credit
protection
purchased
1Net credit
protection
(sold)/
purchased

Other
protection
purchased
Fair value
of credit
protection
sold

Credit
protection
sold

Credit
protection
purchased
1Net credit
protection
(sold)/
purchased

Other
protection
purchased
Fair value
of credit
protection
sold
Single-name instruments (CHF billion)   
Investment grade 2(18.0)15.4(2.6)6.30.0(52.8)48.6(4.2)10.60.2
Non-investment grade(6.6)5.0(1.6)2.10.1(22.3)20.7(1.6)4.9(0.2)
Total single-name instruments (24.6)20.4(4.2)8.40.1(75.1)69.3(5.8)15.50.0
   of which sovereign (4.1)3.0(1.1)2.70.0(12.8)11.3(1.5)4.4(0.1)
   of which non-sovereign (20.5)17.4(3.1)5.70.1(62.3)58.0(4.3)11.10.1
Multi-name instruments (CHF billion)   
Investment grade 2(36.4)35.1(1.3)2.00.1(54.3)50.8(3.5)8.90.1
Non-investment grade(11.5)10.6(0.9)3.23(0.3)(30.9)28.4(2.5)9.53(0.6)
Total multi-name instruments (47.9)45.7(2.2)5.2(0.2)(85.2)79.2(6.0)18.4(0.5)
   of which non-sovereign (47.9)45.7(2.2)5.2(0.2)(85.2)79.2(6.0)18.4(0.5)
Total instruments (CHF billion)   
Investment grade 2(54.4)50.5(3.9)8.30.1(107.1)99.4(7.7)19.50.3
Non-investment grade(18.1)15.6(2.5)5.3(0.2)(53.2)49.1(4.1)14.4(0.8)
Total instruments (72.5)66.1(6.4)13.6(0.1)(160.3)148.5(11.8)33.9(0.5)
   of which sovereign (4.1)3.0(1.1)2.70.0(12.8)11.3(1.5)4.4(0.1)
   of which non-sovereign (68.4)63.1(5.3)10.9(0.1)(147.5)137.2(10.3)29.5(0.4)
1
Represents credit protection purchased with identical underlyings and recoveries.
2
Based on internal ratings of BBB and above.
3
Includes synthetic securitized loan portfolios.
Contingent credit risk
Contingent credit risk
  20232022

end of

Bilateral
counterparties
Special
purpose
entities

Accelerated
terminations


Total

Bilateral
counterparties
Special
purpose
entities

Accelerated
terminations


Total
Contingent credit risk (CHF billion)   
Current net exposure0.40.10.00.51.20.10.11.4
Collateral posted0.30.10.41.00.11.1
Impact of a one-notch downgrade event0.30.00.00.30.40.00.10.5
Impact of a two-notch downgrade event0.30.00.10.40.50.10.20.8
Impact of a three-notch downgrade event0.40.00.10.50.50.10.20.8
The impact of a downgrade event reflects the amount of additional collateral required for bilateral counterparties and special purpose entities and the amount of additional termination expenses for accelerated terminations, respectively.
Reconciliation of notional amount of credit derivatives included in fair value of derivative instruments to credit protection sold/purchased
Credit derivatives
end of20232022
Credit derivatives (CHF billion)   
Credit protection sold72.5160.3
Credit protection purchased66.1148.5
Other protection purchased13.633.9
Other instruments 14.29.3
Total credit derivatives 156.4352.0
1
Consists of total return swaps and other derivative instruments.
Maturity of credit protection sold
Maturity of credit protection sold

end of
Maturity
less
than
1 year
Maturity
between
1 to 5
years
Maturity
greater
than
5 years



Total
2023 (CHF billion)   
Single-name instruments4.319.21.124.6
Multi-name instruments10.333.14.547.9
Total instruments 14.652.35.672.5
2022 (CHF billion)   
Single-name instruments10.061.83.375.1
Multi-name instruments6.571.57.285.2
Total instruments 16.5133.310.5160.3