Statement of cash flow

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(NOK million)30.06.202330.06.202231.12.2022
Cash flow from operating activities   
Interest, commission and fees received719357862
Interest, commission and fees paid-78-42-91
Received interest, commission and fees related to certificates, bonds and other securities1379
Operating expenses paid-30-27-51
Income taxes paid/received-280-132
Payment for acquiring loans from the parent bank-8 062-2 646-10 102
Payment related to installment loans and credit lines to customers4 8734 1368 603
Proceeds from the sale and settlement of certificates, bonds and other securities2 6734 0484 128
Purchases of certificates, bonds and other securities-2 675-3 513-3 584
Changes in other assets10313
Net cash flow from operating activities-2 5852 351-355
    
    
Cash flow from financing activities   
Paid interest, commission and fees related to issued bonds-528-188-522
Net change in loans from credit institutions1 036-199103
Proceeds from issued covered bonds3 9962 3474 919
Redemption of issued covered bonds-2 890-3 363-3 363
Dividend paid-146-241-241
Changes in other debt467-121-57
Increase/reduction of share capital and premium000
Net cash flow from financing activities1 935-1 765839
    
Net change in cash and cash equivalents-650586484
Cash balance at 01.011 382898898
Cash balance at 30.06/31.12 1)7321 4841 382
    
1) NOK 821 million out of total NOK 1,553 million in Loans to and receivables from credit institutions is the margin call balance on financial derivatives paid in by counterparties according to CSA, and thus should not be included as cash balance at 30.06.2023 (NOK 271 million as at 30.06.2022 and NOK 278 million as at 31.12.2022).