Parent bank | Group | |||||
2012 | 30 Jun 2012 | 30 Jun 2013 | (NOK million) | 30 Jun 2013 | 30 Jun 2012 | 2012 |
1,025 | 614 | 830 | Profit | 606 | 510 | 1,077 |
43 | 20 | 25 | Depreciations and write-downs on fixed assets | 57 | 49 | 102 |
51 | 24 | 33 | Losses on loans and guarantees | 38 | 25 | 58 |
1,119 | 659 | 887 | Net cash increase from ordinary opertions | 701 | 584 | 1,237 |
284 | -1,562 | -171 | Decrease/(increase) other receivables | -82 | -1,675 | 802 |
-293 | 1,178 | -283 | Increase/(decrease) short term debt | -319 | 1,143 | -436 |
-1,738 | -349 | -3,937 | Decrease/(increase) loans to customers | -4,063 | -521 | -1,919 |
-586 | -221 | 748 | Decrease/(increase) loans credit institutions | 872 | -67 | -456 |
5,073 | 4,116 | 3,011 | Increase/(decrease) deposits and debt to customers | 3,016 | 3,633 | 4,381 |
-1,708 | 403 | 1,235 | Increase/(decrease) debt to credit institutions | 1,234 | 402 | -1,708 |
-4,246 | -4,037 | -2,238 | Increase/(decrease) in short term investments | -2,238 | -4,037 | -4,246 |
-2,096 | 188 | -748 | A) NET CASH FLOW FROM OPERATIONS | -878 | -536 | -2,760 |
-92 | -52 | -16 | Increase in tangible fixed assets | -16 | -138 | -279 |
- | - | - | Reductions in tangible fixed assets | - | - | - |
-1,611 | -1,196 | 308 | Paid-up capital, associated companies | 580 | -369 | -728 |
192 | 18 | -85 | Net investments in long-term shares and partnerships | -204 | 5 | -166 |
-1,512 | -1,230 | 207 | B) NET CASH FLOW FROM INVESTMENTS | 359 | -501 | -1,173 |
350 | -29 | 305 | Increase/(decrease) in subordinated loan capital | 305 | -29 | 350 |
936 | 741 | - | Increase/(decrease) in equity | - | 741 | 936 |
-190 | -190 | -195 | Dividend cleared | -195 | -190 | -190 |
-40 | -40 | -30 | To be disbursed from gift fund | -30 | -40 | -40 |
- | - | 38 | Correction of equity capital | 16 | -4 | -89 |
2,112 | 193 | 677 | Increase/(decrease) in other long term loans | 677 | 193 | 2,112 |
3,168 | 675 | 795 | C) NET CASH FLOW FROM FINANCAL ACTIVITIES | 773 | 671 | 3,079 |
-440 | -367 | 255 | A) + B) + C) NET CHANGES IN CASH AND CASH EQUIVALENTS | 255 | -366 | -440 |
1,519 | 1,519 | 1,079 | Cash and cash equivalents at 1.1 | 1,079 | 1,519 | 1,519 |
1,079 | 1,152 | 1,333 | Cash and cash equivalents at end of quarter | 1,333 | 1,152 | 1,079 |
440 | 367 | -255 | Net changes in cash and cash equivalents | -255 | 367 | 440 |