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Consolidated statement of cash flows

in CHF 1 000

Notes

01.01.–30.09.2024

01.01.–30.09.2023

Cash flows from operating activities

Proceeds from sales of securities

3

390 279

303 675

Purchase of securities

3

(218 544)

(56 602)

Interest receipts

32

17

Payments for services

(24 595)

(27 810)

Income taxes paid

(69)

(76)

Total cash flows from operating activities

147 103

219 204

Cash flows from financing activities

Dividend

(109 692)

(156 311)

Purchase of treasury shares

5

(813)

Repayment of borrowings

4

(30 600)

(60 900)

Interest payments

(4 202)

(4 219)

Total cash flows from financing activities

(145 307)

(221 430)

Foreign exchange difference

(51)

600

Change in cash and cash equivalents

1 745

(1 626)

Cash and cash equivalents at the beginning of the period

501

1 948

Cash and cash equivalents at the end of the period

2 246

322

The notes are an integral part of the condensed consolidated interim financial statements.