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Subsidiary guarantee information (Details 4) (CHF)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations 22,074 (12,668) 38,622
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks 538 184 (732)
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 17,120 46,952 (15,221)
Purchase of investment securities (677) (480) (1,542)
Proceeds from sale of investment securities 176 936 2,118
Maturities of investment securities 832 1,626 2,462
Investments in subsidiaries and other investments (1,792) (2,039) (1,782)
Proceeds from sale of other investments 3,737 3,104 6,784
(Increase)/decrease in loans (9,126) (11,022) (17,237)
Proceeds from sale of loans 1,483 1,090 689
Capital expenditures for premises and equipment and other intangible assets (903) (1,242) (1,739)
Proceeds from sale of premises and equipment and other intangible assets 9 26 11
Other, net 122 3,683 222
Net cash provided by/(used in) investing activities of continuing operations 11,519 42,818 (25,967)
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits 22,463 (12,567) 27,740
Increase/(decrease) in short-term borrowings 6,002 (7,840) 4,098
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions (36,347) (39,958) 7,182
Issuances of long-term debt 39,090 38,405 34,234
Repayments of long-term debt (55,135) (55,936) (37,127)
Issuances of common shares 976 1,930 1,127
Sale of treasury shares 9,764 8,355 11,853
Repurchase of treasury shares (10,202) (8,859) (11,790)
Dividends paid/capital repayments (564) (1,296) (1,948)
Excess tax benefits on share based awards 0 0  
Other, net (468) 394 (2,508)
Net cash provided by/(used in) financing activities of continuing operations (24,421) (77,372) 32,861
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks (1,216) (1,242) (632)
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations (1,027) (346) 222
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks 6,929 (48,810) 45,106
Cash and due from banks at beginning of period 61,763 110,573 65,467
Cash and due from banks at end of period 68,692 61,763 110,573
Credit Suisse (USA), Inc - Consolidated
     
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations 6,126 (4,312) 11,286
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks (1) (2) (1)
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions (594) 22,780 (20,567)
Purchase of investment securities 0 0 0
Proceeds from sale of investment securities 23 0 0
Maturities of investment securities 0 0 0
Investments in subsidiaries and other investments 232 34 (1,032)
Proceeds from sale of other investments 2,139 1,922 4,357
(Increase)/decrease in loans 2,456 1,075 6,326
Proceeds from sale of loans 0 0 0
Capital expenditures for premises and equipment and other intangible assets (238) (364) (477)
Proceeds from sale of premises and equipment and other intangible assets 0 16 0
Other, net (87) 235 2
Net cash provided by/(used in) investing activities of continuing operations 3,930 25,696 (11,392)
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits 95 78 (27)
Increase/(decrease) in short-term borrowings 22,124 5,508 (21,801)
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions (29,400) (20,167) 30,267
Issuances of long-term debt 687 879 3,395
Repayments of long-term debt (3,482) (5,094) (9,974)
Issuances of common shares 0 0 44
Sale of treasury shares 0 0 0
Repurchase of treasury shares 0 0 0
Dividends paid/capital repayments 0 0 0
Excess tax benefits on share based awards 0 0  
Other, net 258 (1,714) (4,184)
Net cash provided by/(used in) financing activities of continuing operations (9,718) (20,510) (2,280)
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks (74) (105) (105)
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations 0 6 21
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks 264 775 (2,470)
Cash and due from banks at beginning of period 4,523 3,748 6,218
Cash and due from banks at end of period 4,787 4,523 3,748
Bank parent company and other subsidiaries
     
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations 15,912 (7,671) 25,809
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks 444 317 (1,019)
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 17,714 24,153 5,886
Purchase of investment securities (676) (276) (1,232)
Proceeds from sale of investment securities 153 936 2,118
Maturities of investment securities 673 1,442 2,294
Investments in subsidiaries and other investments (1,570) (1,981) (378)
Proceeds from sale of other investments 1,026 996 1,967
(Increase)/decrease in loans (10,306) (11,326) (21,139)
Proceeds from sale of loans 1,483 1,090 689
Capital expenditures for premises and equipment and other intangible assets (657) (863) (1,250)
Proceeds from sale of premises and equipment and other intangible assets 9 10 11
Other, net 202 3,441 187
Net cash provided by/(used in) investing activities of continuing operations 8,495 17,939 (11,866)
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits 22,252 (14,532) 27,456
Increase/(decrease) in short-term borrowings (16,122) (17,151) 25,899
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions (6,947) (19,791) (23,085)
Issuances of long-term debt 37,227 36,338 30,255
Repayments of long-term debt (52,830) (49,371) (26,617)
Issuances of common shares 0 0 (46)
Sale of treasury shares 0 0 615
Repurchase of treasury shares 0 0 (612)
Dividends paid/capital repayments (305) (321) (481)
Excess tax benefits on share based awards 0 42  
Other, net 923 5,317 1,405
Net cash provided by/(used in) financing activities of continuing operations (15,802) (59,469) 34,789
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks (1,141) (1,070) (586)
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations (1,027) (352) 201
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks 6,437 (50,623) 48,347
Cash and due from banks at beginning of period 56,853 107,476 59,129
Cash and due from banks at end of period 63,290 56,853 107,476
Bank
     
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations 22,038 (11,983) 37,095
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks 443 315 (1,020)
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 17,120 46,933 (14,681)
Purchase of investment securities (676) (276) (1,232)
Proceeds from sale of investment securities 176 936 2,118
Maturities of investment securities 673 1,442 2,294
Investments in subsidiaries and other investments (1,338) (1,947) (1,410)
Proceeds from sale of other investments 3,165 2,918 6,324
(Increase)/decrease in loans (7,850) (10,251) (14,813)
Proceeds from sale of loans 1,483 1,090 689
Capital expenditures for premises and equipment and other intangible assets (895) (1,227) (1,727)
Proceeds from sale of premises and equipment and other intangible assets 9 26 11
Other, net 115 3,676 189
Net cash provided by/(used in) investing activities of continuing operations 12,425 43,635 (23,258)
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits 22,347 (14,454) 27,429
Increase/(decrease) in short-term borrowings 6,002 (11,643) 4,098
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions (36,347) (39,958) 7,182
Issuances of long-term debt 37,914 37,217 33,650
Repayments of long-term debt (56,312) (54,465) (36,591)
Issuances of common shares 0 0 (2)
Sale of treasury shares 0 0 615
Repurchase of treasury shares 0 0 (612)
Dividends paid/capital repayments (305) (321) (481)
Excess tax benefits on share based awards 0 42 0
Other, net 1,181 3,603 (2,779)
Net cash provided by/(used in) financing activities of continuing operations (25,520) (79,979) 32,509
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks (1,215) (1,175) (691)
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations (1,027) (346) 222
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks 6,701 (49,848) 45,877
Cash and due from banks at beginning of period 61,376 111,224 65,347
Cash and due from banks at end of period 68,077 61,376 111,224
Group parent company
     
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations 400 357 431
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks 0 0 0
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 0 0 0
Purchase of investment securities (1,402) 0 0
Proceeds from sale of investment securities 0 0 0
Maturities of investment securities 0 0 0
Investments in subsidiaries and other investments (2,458) (3,584) (101)
Proceeds from sale of other investments 481 110 9
(Increase)/decrease in loans 1,228 1,154 547
Proceeds from sale of loans 0 0 0
Capital expenditures for premises and equipment and other intangible assets 0 0 0
Proceeds from sale of premises and equipment and other intangible assets 0 0 0
Other, net 0 28 0
Net cash provided by/(used in) investing activities of continuing operations (2,151) (2,292) 455
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits (500) (1,015) (1,514)
Increase/(decrease) in short-term borrowings 0 0 0
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions 0 0 0
Issuances of long-term debt 2,292 10 10
Repayments of long-term debt 0 (1,149) (489)
Issuances of common shares 976 1,930 1,129
Sale of treasury shares 58 367 550
Repurchase of treasury shares (217) (495) (201)
Dividends paid/capital repayments (154) (944) (1,560)
Excess tax benefits on share based awards 1 0  
Other, net 75 3,180 617
Net cash provided by/(used in) financing activities of continuing operations 2,531 1,884 (1,458)
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks (4) 57 567
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations 0 0 0
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks 776 6 (5)
Cash and due from banks at beginning of period 19 13 18
Cash and due from banks at end of period 795 19 13
Group Parent company - subsidiary that holds a banking license
     
Net increase/(decrease) in cash and due from banks (CHF million)      
Dividend income from investments 161 166 162
Group Parent company - subsidiary that doesn't hold a banking license
     
Net increase/(decrease) in cash and due from banks (CHF million)      
Dividend income from investments 208 46 188
Other Group subsidiaries
     
Operating activities of continuing operations (CHF million)      
Net cash provided by/(used in) operating activities of continuing operations (364) (1,042) 1,096
Investing activities of continuing operations (CHF million)      
(Increase)/decrease in interest-bearing deposits with banks 95 (131) 288
(Increase)/decrease in central bank funds sold, securities purchased under resale agreements and securities borrowing transactions 0 19 (540)
Purchase of investment securities 1,401 (204) (310)
Proceeds from sale of investment securities 0 0 0
Maturities of investment securities 159 184 168
Investments in subsidiaries and other investments 2,004 3,492 (271)
Proceeds from sale of other investments 91 76 451
(Increase)/decrease in loans (2,504) (1,925) (2,971)
Proceeds from sale of loans 0 0 0
Capital expenditures for premises and equipment and other intangible assets (8) (15) (12)
Proceeds from sale of premises and equipment and other intangible assets 0 0 0
Other, net 7 (21) 33
Net cash provided by/(used in) investing activities of continuing operations 1,245 1,475 (3,164)
Financing activities of continuing operations (CHF million)      
Increase/(decrease) in due to banks and customer deposits 616 2,902 1,825
Increase/(decrease) in short-term borrowings 0 3,803 0
Increase/(decrease) in central bank funds purchased, securities sold under repurchase agreements and securities lending transactions 0 0 0
Issuances of long-term debt (1,116) 1,178 574
Repayments of long-term debt 1,177 (322) (47)
Issuances of common shares 0 0 0
Sale of treasury shares 9,706 7,988 10,688
Repurchase of treasury shares (9,985) (8,364) (10,977)
Dividends paid/capital repayments (105) (31) 93
Excess tax benefits on share based awards (1) (42)  
Other, net (1,724) (6,389) (346)
Net cash provided by/(used in) financing activities of continuing operations (1,432) 723 1,810
Effect of exchange rate changes on cash and due from banks (CHF million)      
Effect of exchange rate changes on cash and due from banks 3 (124) (508)
Net cash provided by/(used in) operating activities of discontinued operations (CHF million)      
Net cash provided by/(used in) operating activities of discontinued operations 0 0 0
Net increase/(decrease) in cash and due from banks (CHF million)      
Net increase/(decrease) in cash and due from banks (548) 1,032 (766)
Cash and due from banks at beginning of period 368 (664) 102
Cash and due from banks at end of period (180) 368 (664)