Credit Suisse Group AG
F:CSX

Watchlist Manager
Credit Suisse Group AG Logo
Credit Suisse Group AG
F:CSX
Watchlist
Price: 10.485 EUR Market Closed
Market Cap: €25.1B

Balance Sheet

Balance Sheet Decomposition
Credit Suisse Group AG

Balance Sheet
Credit Suisse Group AG

Rotate your device to view
Balance Sheet
Currency: CHF
Dec-1999 Dec-2000 Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022
Assets
Net Loans
0
0
0
0
177 179
184 399
205 607
208 119
240 534
235 797
237 180
218 842
233 413
242 223
247 054
272 551
272 995
275 976
279 149
287 581
296 779
291 908
291 686
264 165
Investments
342 050
450 433
470 554
430 638
703 293
769 191
968 198
860 925
913 692
708 321
627 533
629 383
597 995
503 726
497 676
505 822
420 887
416 191
401 113
373 913
378 224
379 361
311 389
176 878
PP&E Net
9 011
9 913
9 422
8 152
7 819
7 231
7 427
5 990
6 149
6 350
6 436
6 725
7 193
5 618
5 091
4 641
4 644
4 711
4 686
4 838
7 832
7 376
7 305
6 929
PP&E Gross
9 011
9 913
9 422
8 152
7 819
7 231
7 427
5 990
6 149
6 350
6 436
6 725
7 193
5 618
5 091
4 641
4 644
4 711
4 686
4 838
7 832
7 376
7 305
6 929
Accumulated Depreciation
4 003
4 694
5 708
5 784
7 111
7 263
7 434
5 926
5 618
5 862
6 566
6 952
7 782
7 970
7 968
9 136
8 106
8 773
7 801
6 720
7 153
7 627
8 129
8 717
Intangible Assets
4 737
10 430
9 186
7 324
4 056
3 689
3 091
476
444
423
328
312
288
243
210
249
196
213
223
219
291
237
276
458
Goodwill
0
12 869
13 664
11 035
12 325
11 564
12 932
11 023
10 882
9 330
9 267
8 585
8 591
8 389
7 999
8 644
4 808
4 913
4 742
4 766
4 663
4 426
2 917
2 903
Long-Term Investments
0
0
0
0
0
0
0
0
2 562
2 787
3 679
3 954
2 542
2 167
2 043
3 453
2 876
3 121
3 066
2 467
1 412
1 251
1 015
781
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
0
0
0
0
1
0
0
0
1 023
0
23
0
0
1 584
0
33 547
15 534
11 039
13 606
16 359
13 718
16 040
20 598
Other Assets
371 025
514 607
531 187
507 756
94 602
107 020
135 425
160 118
170 378
152 625
119 971
126 939
130 332
127 069
71 064
79 202
21 030
19 302
20 143
16 259
15 083
14 593
12 749
13 614
Total Assets
729 022
N/A
987 433
+35%
1 022 513
+4%
955 656
-7%
1 004 308
+5%
1 089 485
+8%
1 339 052
+23%
1 255 956
-6%
1 360 680
+8%
1 170 350
-14%
1 031 427
-12%
1 032 005
+0%
1 049 164
+2%
924 280
-12%
872 806
-6%
921 462
+6%
820 805
-11%
819 861
0%
796 289
-3%
768 916
-3%
787 295
+2%
805 822
+2%
755 833
-6%
531 358
-30%
Liabilities
Accounts Payable
0
0
0
0
0
0
0
0
55 808
93 323
58 965
61 746
68 034
64 676
73 154
56 977
45 463
45 891
48 894
36 082
30 784
25 950
17 029
15 281
Accrued Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
3 213
2 759
2 591
2 419
Short-Term Debt
0
0
0
0
248 344
255 067
329 275
310 000
319 771
254 334
199 332
190 077
202 675
151 362
137 025
122 894
83 766
80 965
90 459
88 245
96 137
95 492
69 684
35 672
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
32 469
33 757
26 471
23 896
24 983
26 483
28 154
Total Deposits
424 932
612 223
636 231
585 867
261 989
299 341
364 238
290 864
335 505
296 986
286 694
287 510
313 180
308 065
333 089
369 055
342 705
355 833
361 162
363 925
383 783
390 921
392 819
233 235
Other Current Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
608
636
700
927
678
555
685
537
Total Current Liabilities
0
0
0
0
248 344
255 067
329 275
310 000
375 579
347 657
258 297
251 823
270 709
216 038
210 179
179 871
129 837
159 961
173 810
151 725
154 708
149 739
116 472
82 063
Long-Term Debt
50 553
68 749
84 524
84 438
89 697
106 261
132 975
147 832
160 157
150 714
159 365
173 752
162 655
148 134
130 042
177 898
197 608
160 846
139 275
127 837
128 109
136 104
140 413
129 081
Deferred Income Tax
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
54
129
394
438
523
530
754
1 378
Minority Interest
1 154
2 571
3 121
2 878
743
6 178
7 847
15 318
16 640
14 919
10 811
9 733
7 411
6 786
5 002
1 042
636
414
287
97
70
264
276
202
Other Liabilities
222 854
262 939
262 837
253 957
369 544
386 365
462 599
448 356
429 600
327 772
278 743
275 905
261 536
209 759
152 330
149 637
105 583
100 781
79 459
80 972
76 458
85 587
61 145
40 270
Total Liabilities
699 493
N/A
946 482
+35%
986 713
+4%
927 140
-6%
970 317
+5%
1 053 212
+9%
1 296 934
+23%
1 212 370
-7%
1 317 481
+9%
1 138 048
-14%
993 910
-13%
998 723
+0%
1 015 491
+2%
888 782
-12%
830 642
-7%
877 503
+6%
776 423
-12%
777 964
+0%
754 387
-3%
724 994
-4%
743 651
+3%
763 145
+3%
711 879
-7%
486 229
-32%
Equity
Common Stock
5 444
6 009
3 590
1 190
1 195
607
624
607
46
47
47
47
49
53
64
64
78
84
102
102
102
98
106
160
Retained Earnings
4 739
7 952
9 696
3 373
14 873
20 501
24 584
32 306
33 670
18 780
25 258
25 316
27 053
28 171
30 261
32 083
29 139
25 954
24 973
26 973
30 634
32 834
31 064
23 632
Additional Paid In Capital
11 700
19 882
19 446
20 710
23 586
23 435
24 639
24 817
24 553
25 166
24 706
23 026
21 796
23 636
27 853
27 007
31 925
32 131
35 668
34 889
34 661
33 323
34 938
38 615
Unrealized Security Profit/Loss
5 515
4 789
749
1 504
0
0
0
0
0
0
0
0
0
0
0
0
60
61
48
10
30
13
13
13
Treasury Stock
0
0
0
0
3 144
4 547
5 823
9 111
9 378
752
856
552
90
459
139
192
125
0
103
61
1 484
428
828
428
Other Equity
2 131
2 319
2 319
1 739
2 519
3 723
1 906
5 033
5 692
10 939
11 638
14 555
15 134
15 903
15 875
15 003
16 695
16 333
18 786
17 991
20 299
23 163
21 339
16 837
Total Equity
29 529
N/A
40 951
+39%
35 800
-13%
28 516
-20%
33 991
+19%
36 273
+7%
42 118
+16%
43 586
+3%
43 199
-1%
32 302
-25%
37 517
+16%
33 282
-11%
33 674
+1%
35 498
+5%
42 164
+19%
43 959
+4%
44 382
+1%
41 897
-6%
41 902
+0%
43 922
+5%
43 644
-1%
42 677
-2%
43 954
+3%
45 129
+3%
Total Liabilities & Equity
729 022
N/A
987 433
+35%
1 022 513
+4%
955 656
-7%
1 004 308
+5%
1 089 485
+8%
1 339 052
+23%
1 255 956
-6%
1 360 680
+8%
1 170 350
-14%
1 031 427
-12%
1 032 005
+0%
1 049 165
+2%
924 280
-12%
872 806
-6%
921 462
+6%
820 805
-11%
819 861
0%
796 289
-3%
768 916
-3%
787 295
+2%
805 822
+2%
755 833
-6%
531 358
-30%
Shares Outstanding
Common Shares Outstanding
1 189
1 313
1 299
1 344
1 235
1 213
1 229
1 161
1 115
1 271
1 277
1 282
1 333
1 413
1 696
1 706
2 022
2 166
2 550
2 551
2 436
2 406
2 570
3 941