Key figures

Group companies compared

Income statement and key balance sheet figures

Raiffeisen banksRaiffeisen SwitzerlandOther Group companiesConsolidation effectsRaiffeisen Group
in million CHF2020202120202021202020212020202120202021
Income statement
Net interest income 2,1112,121211283-26-81182,2972,414
Result from commission business and services 35142010912264-15-10451536
Result from trading activities124144778713141-1215244
Other result from ordinary activities71713613632191-356-33697189
Operating income2,6572,75675885514101-369-3293,0603,383
Personnel expenses-935-960-386-420-23-22710-1.337-1,392
General and administrative expenses-564-577-228-258-20-13332345-480-503
Operating expenses -1,499-1,537-614-678-43-35339355-1.817-1,895
Value adjustments on participations and depreciation and amortisation of tangible fixed assets and intangible assets-186-167-55-61-2-4-3115-274-217
Value adjustments, provisions and losses -78-6-7-011-4-2-3
Operating profit 9651,06083109-3162-50379671,268
Extraordinary income152123412--23-4669
Extraordinary expenses-584-553--0582552-2-1
Changes in reserves for general banking risks-18-130-42-92-60222--
Taxes-125-138-1-3-3-610-36-119-183
Group profit (including minority interests)2532604248-22565797298521,093
Minority interests in Group profit-----0-924-924
Group profit 2532604248-22565887058611,069
Key balance sheet figures
Total assets 227,313238,60367,63086,8972,7642,543-38.054-43,554259,653284,489
Amounts due from customers7,1616,8753,0143,0907791-211-6010,0419,996
Mortgage loans179,410185,32310,91111,040-0-4-3190,317196,360
Amounts due in respect of customer deposits 174,872185,05815,84917,277-0-296-606190,425201,729