1180 · Banks

SNB financial history.

45 recurring metrics, each consolidated into one source-linked historical page.

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Balance Sheet

11 historical series

Cash and cash equivalents7 periods · 2017-12-31–2023-12-3147,498,960History →Investments, net14 periods · 2017-12-31–2026-06-30322,219,398History →Total assets14 periods · 2017-12-31–2026-06-301,244,688,218History →Total equity14 periods · 2017-12-31–2026-06-30214,860,351History →Total liabilities14 periods · 2017-12-31–2026-06-301,029,827,867History →Total liabilities and equity14 periods · 2017-12-31–2026-06-301,244,688,218History →Due from banks and other financial institutions, net12 periods · 2018-12-31–2026-06-3027,009,164History →Financing and advances, net14 periods · 2017-12-31–2026-06-30739,562,568History →Investments in associates, net7 periods · 2017-12-31–2023-12-31246,049History →Positive fair value of derivatives9 periods · 2022-12-31–2026-06-3025,718,610History →Positive fair value of derivatives, net5 periods · 2017-12-31–2021-12-318,909,910History →
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Income Statement

10 historical series

Net income13 periods · 2017-12-31–2026-06-306,614,848History →Net income attributable to shareholders14 periods · 2017-12-31–2026-06-306,605,872History →Total operating income14 periods · 2017-12-31–2026-06-3010,582,649History →Fee income from banking services, net5 periods · 2017-12-31–2023-12-313,925,081History →Net income for the year before Zakat and income tax4 periods · 2019-12-31–2022-12-3121,276,779History →Net special commission income13 periods · 2017-12-31–2026-06-307,894,039History →Special commission expense14 periods · 2017-12-31–2026-06-30(7,509,937)History →Special commission income12 periods · 2017-12-31–2026-06-3015,403,976History →Total operating expenses13 periods · 2017-12-31–2026-06-303,047,796History →Total operating expenses before expected credit losses9 periods · 2020-12-31–2026-06-302,790,036History →
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Cash Flow Statement

12 historical series

Net income2 periods · 2017-12-31–2018-12-3110,830,119History →(Gains) on disposal of other real estate, net3 periods · 2017-12-31–2019-12-31(5,593)History →(Gains) on disposal of property, equipment and software, net7 periods · 2017-12-31–2023-12-31(74,719)History →(Gains) on non-FVIS financial instruments, net3 periods · 2019-12-31–2023-12-31(228,386)History →Adjustments to reconcile net income to net cash from operating activities: Amortisation of premium on non-trading financial instruments, net5 periods · 2017-12-31–2023-12-31(60,056)History →Depreciation/amortisation of property, equipment, software, and Right of Use Assets10 periods · 2020-12-31–2026-06-30734,127History →Loss on disposal of other repossessed assets14 periods · 2017-12-31–2026-06-3010,397History →Net cash (used in) financing activities5 periods · 2017-12-31–2021-12-31(5,697,668)History →Net cash (used in) investing activities6 periods · 2018-12-31–2023-12-31(9,375,633)History →Net cash from operating activities4 periods · 2017-12-31–2021-12-3116,874,643History →Net cash generated from/(used in) financing activities8 periods · 2022-12-31–2026-06-307,972,245History →Net income for the year before Zakat and income tax5 periods · 2019-12-31–2023-12-3122,772,574History →
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Comprehensive Income Statement

12 historical series

Net income13 periods · 2017-12-31–2026-06-306,614,848History →Total comprehensive income14 periods · 2017-12-31–2026-06-306,961,846History →- Net amounts transferred to the consolidated statement of income8 periods · 2020-12-31–2025-12-31(282,482)History →Attributable to: Equity holders of the Bank13 periods · 2017-12-31–2026-06-307,041,520History →Cash flow hedges: - Effective portion of changes in fair values12 periods · 2018-12-31–2026-06-3090,311History →Fair value through other comprehensive income - debt instruments: – Net changes in fair values7 periods · 2023-12-31–2026-06-30505,381History →Fair Value Through Other Comprehensive Income debt instruments: - Net change in fair values3 periods · 2020-12-31–2022-12-31(6,025,085)History →Items that are or may be reclassified to the consolidated statement of income in subsequent years: - Foreign currency translation reserve (losses)5 periods · 2019-12-31–2023-12-31(1,766,698)History →Items that cannot be reclassified to the consolidated statement of income in subsequent years: - Movement in fair value reserve in equity instruments and actuarial gains (losses)5 periods · 2019-12-31–2023-12-31(2,666,145)History →Non-controlling interests10 periods · 2018-12-31–2026-06-30(79,674)History →Total other comprehensive (loss)3 periods · 2017-12-31–2023-12-31(2,582,363)History →Total other comprehensive income/(loss)10 periods · 2019-12-31–2026-06-30346,998History →