Statement of cash flow - Group

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(NOK million)31.12.202131.12.2020
   
Cash flow from operating activities  
Interest, commission and fees received1 8842 069
Interest, commission and fees paid-277-521
Dividend and group contribution received322
Operating expenses paid-531-552
Income taxes paid-104-99
Changes relating to loans to and claims on other financial institutions299-78
Changes relating to repayment of loans/leasing to customers-3 037-2 632
Changes in utilised credit facilities-90-207
Net change in deposits from customers2 8292 220
Net cash flow from operating activities976222
   
Cash flow from investing activities  
Interest received on certificates, bonds and other securities94115
Proceeds from the sale of certificates, bonds and other securities6 2867 359
Purchases of certificates, bonds and other securities-10 013-8 919
Proceeds from the sale of fixed assets etc.00
Purchase of fixed assets etc.-17-37
Changes in other assets135-65
Net cash flow from investing activities-3 515-1 547
   
Cash flow from financing activities  
Interest paid on debt securities and subordinated loan capital-268-388
Net change in deposits from Norges Bank and other financial institutions-1 2291 392
Proceeds from bond issues raised6 3465 821
Redemption of debt securities-2 150-5 912
Dividend paid-133-138
Changes in other debt-11847
Paid interest on Additional Tier 1 capital issued-23-27
Net cash flow from financing activities2 425795
   
Net change in cash and cash equivalents-114-530
Cash balance at 01.015421 072
Cash balance at 31.12428542