Statement of cash flow

Vi vil på det sterkeste beklage at tabellen ikke vil leses i 100% korrekt rekkefølge. Dette på grunn av at der ikke er tekniske løsninger som løser opplesning av komplekse tabeller. Vi arbeider med å finne en løsning, og regner med den skal være på plass til neste årsrapportering.
GROUP  PARENT BANK
20172018(NOK million)Note20182017
      
  Cash flow from operating activities   
1 9052 059Interest, commission and fees received18 1 4971 408
-343-383Interest, commission and fees paid18 -391-344
23Dividend and group contribution received18 155158
-525-561Operating expenses paid19 20 21 22 -547-497
-168-204Income taxes paid26 -146-117
-6467Changes relating to loans to and claims on other financial institutions 167-708
-3 777-3 740Changes relating to repayment of loans/leasing to customers -1 658-2 671
-321303Changes in utilised credit facilities 485-74
2421 610Net change in deposits from customers21 1 617246
-3 631-906Net cash flow from operating activities 1 179-2 599
      
  Cash flow from investing activities   
106112Interest received on certificates, bonds and other securities 127114
4 1629 469Proceeds from the sale of certificates, bonds and other securities 8 5025 819
-4 022-10 198Purchases of certificates, bonds and other securities -9 184-4 378
00Proceeds from the sale of fixed assets etc.23 00
-24-23Purchase of fixed assets etc.23 -23-24
149-135Changes in other assets24 25 -2069
371-775Net cash flow from investing activities -5981 600
      
  Cash flow from financing activities   
-380-434Interest paid on issued bonds and subordinated loan capital -136-139
-89386Net change in deposits from Norges Bank and other financial institutions 1 015-275
7 9424 603Proceeds from bonds issued10 12 7995 655
-3 841-2 654Maturity of debt securities10 12 -1 809-3 784
-138-138Dividend paid29 -138-138
-239153Changes in other debt17 22 -77-325
3490Proceeds from issued Additional Tier 1 capital11 0349
-7-15Interest paid on issued Additional Tier 1 capital11 -15-7
3 5971 901Net cash flow from financing activities -3611 336
      
337220Net change in cash and cash equivalents 220337
300637Cash balance at 01.01 637300
637857Cash balance at 31.12 857637
The cash flow statement shows cash payments received and made and cash equivalents throughout the year. The statement is prepared according to the direct method.The cash flows are classified as operating activities, investing activities or financing activities. The balance sheet items have been adjusted for the impact of foreign exchange rate changes. Cash is defined as cash-in-hand and claims on Norges Bank.