Statement of cash flow - Group

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Amounts in NOK million30.09.201530.09.201431.12.2014
Cash flow from operating activities   
Interest, commission and fees received1 7132 2472 262
Interest, commission and fees paid-753-891-851
Dividend and group contribution received177
Operating expenses paid-402-273-513
Income taxes paid-204-189-188
Changes relating to loans to and claims on other financial institutions-9110-446
Changes relating to repayment of loans/leasing to customers-2 661-947-2 223
Changes in utilised credit facilities109-298-546
Net cash flow from operating activities-2 206-234-2 498
    
Cash flow from investing activities   
Proceeds from the sale of certificates, bonds and other securities1 2121 4052 594
Purchases of certificates, bonds and other securities-1 165-1 654-2 137
Proceeds from the sale of fixed assets etc.011
Purchase of fixed assets etc.-31-24-33
Changes in other assets-33136-454
Net cash flow from investing activities-315-236-29
    
Cash flow from financing activities   
Net change in deposits from customers89795332
Net change in deposits from Norges Bank and other financial institutions543-523-559
Proceeds from bond issues raised5 4123 5516 258
Redemption of debt securities-3 687-3 160-4 956
Dividend paid-133-79-79
Changes in other debt-64328
Net cash flow from financing activities3 026-1121 324
    
Net change in cash and cash equivalents505-582-1 203
Cash balance at 01.01781 2811 281
Cash balance at 30.09/31.1258369978