Credit Suisse Group ADR (CS)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
0.8858 +0.0087 (+0.99%) 06/09/23 [NYSE]
N/A x N/A N/A x N/A
Post-market 0.8858 unch (unch) -
for Fri, Jun 9th, 2023
Fiscal Year End Date: 12/31
(Values in U.S. thousands)
12-2022 | 12-2021 | 12-2020 | 12-2019 | 12-2018 | |
Assets | |||||
Cash & Cash Equivalents | 71,758,090 | 180,327,400 | 148,376,900 | 102,541,200 | 102,288,100 |
Federal Funds Sold | 61,614,430 | 113,683,600 | 84,403,260 | 107,692,500 | 119,717,900 |
Securities And Investments | 73,517,518 | 139,129,070 | 222,618,610 | 196,289,660 | 180,770,500 |
Interest Bearing Deposits | 476,795 | 1,447,494 | 1,384,447 | 745,817 | 1,167,581 |
Loans Gross | 278,246,800 | 320,641,300 | 312,987,400 | 299,660,200 | 294,945,000 |
Allowance For Loan Losses | -1,428,288 | -1,419,048 | -1,638,298 | -952,149 | -922,205 |
Receivables | 14,479,880 | 18,257,250 | 38,334,670 | 35,879,710 | 39,778,520 |
PPE Net | N/A | N/A | N/A | N/A | 4,946,371 |
Intangibles | 3,521,992 | 3,493,462 | 4,973,555 | 4,986,202 | 5,096,664 |
Other assets | 54,622,883 | 51,396,372 | 48,049,256 | 45,569,261 | 38,351,269 |
Total Assets | $556,810,100 | $826,956,900 | $859,489,800 | $792,412,400 | $786,139,700 |
Liabilities | |||||
Total deposits | 256,882,200 | 450,532,900 | 434,473,100 | 403,130,400 | 387,637,800 |
Federal Funds Purchased | 21,251,410 | 38,593,290 | 25,439,480 | 27,711,960 | 25,174,550 |
Trading Liabilities | 19,216,390 | 30,126,040 | 48,926,010 | 38,434,210 | 43,113,590 |
Accounts payable and accrued liabilities | 11,990,070 | 14,288,950 | 23,095,090 | 25,849,940 | 31,615,680 |
Short Term Debt | 13,008,630 | 21,217,880 | 22,257,810 | 28,569,500 | 22,417,140 |
Long Term Debt | 164,766,600 | 182,600,900 | 171,815,400 | 152,993,000 | 157,764,500 |
Other liabilities | 22,192,400 | 41,204,840 | 87,682,010 | 71,725,290 | 73,411,440 |
Total Liabilities | $509,307,700 | $778,564,800 | $813,688,900 | $748,414,300 | $741,134,700 |
Shareholders' Equity | |||||
Common Shares | 167,664 | 115,975 | 104,527 | 102,663 | 104,285 |
Additional Paid Capital | 40,464,660 | 38,225,660 | 35,542,310 | 34,886,300 | 35,670,510 |
Treasury Shares | 449,000 | 906,000 | 457,000 | 1,494,000 | 62,000 |
Retained earnings | 24,763,970 | 33,987,120 | 35,020,750 | 30,833,120 | 27,577,200 |
Other shareholders' equity | -17,444,934 | -23,030,715 | -24,409,717 | -20,329,943 | -18,284,965 |
TOTAL | $47,502,360 | $48,392,040 | $45,800,870 | $43,998,140 | $45,005,030 |
Total Liabilities And Equity | $556,810,060 | $826,956,840 | $859,489,770 | $792,412,440 | $786,139,730 |