UBS Group AG

SIX:UBSG.SW

28.93 (CHF) • At close July 18, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CHF.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 225,705317,212172,825194,798158,231107,068108,370104,214.19118,689.268104,461.576120,071.195110,481.48195,971.12567,853.23447,148.43565,191.30490,772.82370,254.30844,204.788258,267229,189200,966127,290127,61261,08065,739
Kortetermijnbeleggingen 2,1952,2332,2398,8448,2586,3456,6678,895.48215,386.42763,274.45357,804.67867,072.6972,715.82156,502.56679,987.16278,992.2714,901.2374,377.4527,326.6110000000
Liquide middelen en kortetermijnbeleggingen 225,524329,377171,684203,642166,489113,413117,399114,482.235135,266.288168,971.308177,875.874177,554.171168,686.946124,355.8127,135.598144,183.57595,674.0674,631.7651,531.399258,267229,189200,966127,290127,61261,08065,739
Nettovorderingen 38,87335,89023,43026,32529,14445,49600014,293.2315,542.61114,590.91615,750.73113,208.0885,847.55306,043.42816,287.18815,272.1760000000
Voorraad 00-351,680.807-391,900.193-346,059.353-334,685-329,359.723-331,251.066-330,23500000000000000000
Overige vlottende activa -25,8582,080346,902.807393,008.193347,140.353335,612330,349.723332,290.066331,226.3431,045.0811,038.6011,109.8970005,619.3240000000611,988595,141542,903
Totaal vlottende activa 238,539357,415189,260229,967191,148131,420138,001136,929.852147,486.308183,264.538193,418.484192,145.087184,437.677137,563.889132,983.151149,802.899101,717.48890,918.94866,803.574258,267229,189200,966127,290739,600656,221608,642
Niet-vlottende activa:
Materiële vaste activa, netto 15,49812,43512,28812,88813,10912,8049,3489,063.8448,177.1077,784.9956,931.4246,767.5536,576.7716,044.0555,848.6236,001.9326,262.96,376.6585,667.3237,1727,6556,1775,6985,2475,5215,463
Goodwill 06,0436,0436,1266,1826,2726,3926,346.4366,194.4216,312.9786,439.9346,582.7586,516.5249,642.0119,751.279,772.94710,819.51911,308.56410,218.0690000000
Immateriële activa 01,472224252298197255221.745240.474331.836421.711508.186560.844659.873756.352862.8021,260.7991,506.4571,892.9330000000
Goodwill en immateriële activa 6,8877,5156,2676,3786,4806,4696,6476,568.1826,434.8956,644.8146,861.6457,090.9447,077.36810,301.88410,507.62210,635.74912,080.31812,815.0212,111.00210,26410,6469,2989,917000
Langetermijnbeleggingen 317,873194,710189,175182,917195,672200,549185,268177,731.01154,684.831143,392.619146,814.923166,912.684210,875.114221,047.934284,063.118288,638.647288,666.822545,756.975522,975.078504,589468,314376,564275,033257,927167,107140,675
Belastingvorderingen 008,686.7038,087.3678,142.9479,245.806163,8079,799.57213,15512,835160,607.991180,771.181224,529.253237,393.873300,419.363305,276.329307,010.04564,948.654540,753.4020000000
Overige niet-vlottende activa -340,2581,362,505-10,337.703-8,087.367-8,142.947-9,245.806-182,535-9,799.572-13,155-12,835000000000-522,025-486,615-392,039-290,648-246,409-155,002-138,450
Totaal niet-vlottende activa 1,326,4891,577,165206,079202,183215,261219,822182,535193,363.036169,296.834157,822.427160,607.991180,771.181224,529.253237,393.873300,419.363305,276.329307,010.04564,948.654540,753.402522,025486,615392,039290,64816,76517,6267,688
Totaal activa 1,565,0281,717,2461,104,3641,117,1821,125,765972,183958,313939,909.043917,074.655951,827.1221,070,651.1741,135,729.6581,374,592.2381,503,316.3671,403,802.0861,287,843.4781,874,476.7691,997,115.7831,959,683.5551,562,2571,515,5171,114,524852,693756,365673,847616,330
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 49,02349,21447,03445,13940,09738,7950000000000013.22274.6020000000
Kortlopende schulden 038,53029,67643,09846,66621,838000027,672.0970032,091.51144,386.249,834.783117,327.107134,211.292317,0090000000
Belastingschulden 02,5801,6631,9881,5321,6381,4331,362.2971,425.1781,280.8061,077.031,393.851,305.715620.5571,421.7711,636.7152,067.712,714.0914,253.9760000000
Uitgestelde opbrengsten 03,992217.422218.676201.541136.53780,533149.09916821068,738.81368,881.20274,610.8671,137.72383,308.90600134,224.51498,110.3460000000
Overige kortlopende verplichtingen -49,023-94,316-78,373-90,225-88,295-62,271-1,433-1,362.297-1,425.178-1,280.806-28,749.128-1,393.85-1,305.715-32,712.068-45,807.97-51,471.498-119,394.817-136,938.605-321,337.5780000000
Totaal kortlopende verplichtingen 0074,76188,23785,40959,07178,98984,556.86859,289.17869,288.98168,738.81368,881.20274,610.8671,137.72383,308.90662,962.319104,243.754134,224.51498,110.3460000000
Langlopende verplichtingen:
Langetermijnschulden 297,317327,576163,600175,645159,797161,434152,726146,103150,894135,647.08139,532.579137,788.32178,083.27299,441139,364.536126,910.145184,220.406230,875177,430122,316103,25396,971153,93694,27880,32235,371
Uitgestelde opbrengsten niet-vlottend 00235240228141215153.99164.897212.4562,214.739297.4751,688.009149,503.236139,468.307127,047.343176,185.851232,485.345179,472.0450000000
Uitgestelde belastingverplichtingen niet-vlottend 00236300564301.1570534456141,747.318138,085.794180,642.12283.945103.771137.1981,372.8691,823.7912,192.1630000000
Overige niet-vlottende verplichtingen -297,3171,303,031-164,053.422-176,163.676-160,562.541-161,871.694-152,937.947-146,252.099-151,058.897-135,857.08-139,794.505-138,085.794-179,771.281-99,441-139,364.536-126,910.145-184,220.406-230,875-177,430-140,708-118,293-96,971-153,936-94,278-80,322-35,371
Totaal niet-vlottende verplichtingen 01,630,60774,761176,082201,267177,447152,941146,370.459129,819.792135,859.536141,747.318138,085.794180,642.122149,503.236139,468.307127,047.343176,185.851232,485.345179,472.0451,528,5221,484,8661,085,937824,46094,27833,98835,371
Totaal passiva 1,479,4551,630,6071,047,1461,056,1801,065,929917,476905,004887,217.814864,344.045895,867.2251,019,362.2771,081,641.071,324,318.9361,446,523.7121,353,713.8271,248,217.3911,843,844.0351,965,748.161,918,950.6481,528,5221,484,8661,085,937824,460727,613644,280594,184
Eigen vermogen:
Preferente aandelen 0000003810000000000000000116426278
Gewone aandelen 346346304322338338338395.241377.888389.503376.202432.691420.633406.975409.735343.961273.64182.467172.9796637907637282,1662,7542,706
Ingehouden winsten 78,03574,88050,00443,85138,84734,15430,44833,738.15631,239.08129,849.05522,493.2527,578.39723,256.425,080.49220,631.18511,353.62313,908.00833,567.80840,294.31133,80332,82229,61923,63317,56414,98912,873
Overige gereserveerde algehele resultaten 1,0882,462-1035,2367,6475,3033,930-5,884.467-4,410.985-4,094.33-3,127.939-10,967.131-9,320.744-4,202.574-6,956.9436.71535.48933.49631.153-163-1,446-793-115-116-426-278
Overige totale aandeelhoudersvermogen 5,6108,42010,405.74811,25313,572.43414,70618,21221,921.2323,748.6130,550.22732,282.83639,391.58940,267.45342,060.65525,398.23533,112.46423,344.231841.623-143.093-568-725-2394,7158,82213,2169,344
Totaal eigen vermogen van aandeelhouders 85,07986,10856,87660,66259,51754,53353,30952,691.2352,730.6155,959.89651,288.89754,088.58950,273.30256,792.65550,088.25939,626.08730,632.73431,367.62340,732.90733,73530,65128,58728,23326,27027,77921,873
Totaal eigen vermogen 85,57386,63957,21861,00259,83654,70753,482.50152,748.72553,411.6157,954.89651,288.89754,088.58950,273.30261,474.4655,483.28446,988.40638,10637,494.82145,724.70933,73530,65128,58728,23326,27027,77921,873
Totaal passiva en aandeelhoudersvermogen 1,565,0281,717,2461,104,3641,117,1821,125,765972,183958,313939,909.043917,074.655951,827.1221,070,651.1741,135,729.6581,374,592.2381,503,316.3671,403,802.0861,287,843.4781,874,476.7691,997,115.7831,959,683.5551,562,2571,515,5171,114,524852,693756,365673,847616,330