Statement of cash flow - Group

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(NOK million)30.06.202530.06.202431.12.2024
    
Cash flow from operating activities   
Interest, commission and fees received2 8712 8245 758
Interest, commission and fees paid-1 053-962-1 943
Interest received on certificates, bonds and other securities304264542
Interest paid on debt securities and subordinated loan capital-1 058-996-2 038
Dividend and group contribution received0514
Operating expenses paid-418-421-883
Income taxes paid-348-193-269
Receipts/payments(-) on loans to and receivables from other financial institutions-795333245
Receipts/payments(-) on loans/leasing to customers-2 655-2 716-4 810
Receipts/payments(-) on customers utilised credit facilities43-763-484
Receipts/payments(-) on deposits from customers2 8921 8302 140
Proceeds from the sale of certificates, bonds and other securities7 8848 24518 640
Purchase of certificates, bonds and other securities-13 012-9 335-19 221
Receipts of other assets12150
Payments of other assets00-7
Net cash flow from operating activities-5 333-1 870-2 316
    
Cash flow from investing activities   
Proceeds from the sale of fixed assets and intangible assets000
Purchase of fixed assets and intangible assets-57-16-71
Receipts/payments(-) on investment i subsidiaries000
Net cash flow from investing activities-57-16-71
    
Cash flow from financing activities   
Receipts/payments(-) on deposits from Norges Bank and other financial institutions320176268
Redemption of debt securities-1 579-1 638-7 819
Proceeds from bonds issued7 9923 81110 675
Redemption of Additional Tier 1 capital0-250-250
Proceeds from Additional Tier 1 capital issued0350348
Interest paid on issued Additional Tier 1 capital-30-32-63
Payment of cash dividends to EC owners-311-371-371
Payment of dividend funds-175-80-515
Payment upon sale of own equity certificates1099
Payment upon purchase of own equity certificates0-2-15
Receipts/payments(-) of other debt-704130330
Net cash flow from financing activities5 5232 1032 597
    
Net change in cash and cash equivalents133216210
Cash balance, OB563266353
Cash balance, CB696482563