Group companies compared

 

Raiffeisen banks

Raiffeisen Switzerland

Other Group companies

Consolidation effects

Raiffeisen Group

in million CHF

Current year

Prior year

Current year

Prior year

Current year

Prior year

Current year

Prior year

Current year

Prior year

Income statement

 

 

 

 

 

 

 

 

 

 

Net interest income

2,098

2,086

124

109

20

35

6

-11

2,248

2,219

Result from commission business and services

274

229

103

82

132

159

-15

-3

494

467

Result from trading activities

130

119

80

84

15

8

5

17

230

228

Other result from ordinary activities

76

50

446

400

231

173

-415

-429

338

194

Operating income

2,578

2,484

753

675

398

375

-419

-426

3,310

3,108

Personnel expenses

-875

-849

-381

-355

-149

-180

10

3

-1,395

-1,381

General and administrative expenses

-579

-559

-255

-256

-206

-194

422

403

-618

-606

Operating expenses

-1,454

-1,408

-636

-611

-355

-374

432

406

-2,013

-1,987

Value adjustments on participations and depreciation and amortisation of tangible fixed assets and intangible assets

-118

-119

-75

-133

-21

-12

26

4

-188

-260

Value adjustments, provisions and losses

1

-2

-4

-5

0

-3

3

4

0

-6

Operating profit (interim result)

1,007

955

38

-74

22

-14

42

-12

1,109

855

Extraordinary income

18

19

116

9

8

1

-23

46

119

75

Extraordinary expenses

-608

-581

-1

-26

0

605

603

-4

-4

Changes in reserves for general banking risks

-14

-17

-101

140

35

-123

-80

Taxes

-167

-153

-5

-3

-5

3

-56

-21

-233

-174

Group profit (including minority interests)

236

223

47

46

25

-10

603

493

911

752

Minority interests in Group profit

-6

-2

-6

-2

Group profit

236

223

47

46

25

-10

609

495

917

754

Key balance sheet figures

 

 

 

 

 

 

 

 

 

 

Total assets

195,657

187,375

53,595

51,912

7,762

9,391

-29,285

-30,088

227,729

218,590

Amounts due from customers

5,560

5,588

2,441

2,275

417

527

-502

-371

7,916

8,019

Mortgage loans

162,202

155,771

9,871

9,121

554

540

-5

-6

172,622

165,426

Amounts due in respect of customer deposits

149,976

143,360

11,045

10,714

3,435

4,549

-371

-368

164,085

158,255