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UBS UBS Group

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  • 29.810
  • +0.730+2.51%
Close Apr 24 16:00 ET
  • 29.850
  • +0.040+0.13%
Post 17:06 ET
94.64BMarket Cap19.61P/E (TTM)

UBS Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-96.19%3.28B
-133.43%-12.68B
-86.53%4.1B
-99.27%313M
145.99%11.55B
487.65%86.07B
10,786.48%37.94B
1,067.69%30.46B
568.47%42.77B
-192.03%-25.1B
Net income from continuing operations
-81.21%5.15B
380.58%780M
300.70%1.43B
-95.70%1.18B
70.11%1.76B
257.42%27.38B
-116.79%-278M
-140.79%-711M
1,190.56%27.33B
-51.63%1.04B
Operating gains losses
-117.48%-43M
-7.69%312M
-1,314.29%-340M
234.78%31M
52.58%-46M
116.38%246M
158.08%338M
115.91%28M
97.00%-23M
-521.74%-97M
Depreciation and amortization
1.28%3.8B
-29.45%994M
5.89%1.01B
4.27%903M
70.48%895M
81.95%3.75B
159.01%1.41B
87.01%950M
72.17%866M
3.75%525M
Deferred tax
28.67%-495M
-37.82%-747M
206.84%125M
-142.86%-17M
614.29%144M
-240.49%-694M
-685.51%-542M
-154.93%-117M
-105.43%-7M
-112.67%-28M
Other non cashItems
150.33%17.06B
129.78%10.57B
-347.48%-7.63B
26.44%832M
406.90%13.3B
-215.62%-33.9B
-1,125.14%-35.48B
40.50%-1.71B
128.52%658M
198.20%2.62B
Change in working capital
-123.09%-20.8B
-154.10%-24.56B
-69.58%9.86B
-105.05%-2.07B
85.92%-4.04B
394.31%90.1B
3,432.92%45.4B
1,598.70%32.4B
576.09%40.96B
-203.43%-28.66B
-Change in loans
-88.45%2.58B
-316.08%-25.54B
-35.51%899M
88.57%26.58B
-95.05%644M
180.48%22.36B
-133.13%-6.14B
117.04%1.39B
173.49%14.09B
-22.59%13.01B
-Change in other working capital
-134.52%-23.39B
-98.11%976M
-71.11%8.96B
-206.59%-28.64B
88.77%-4.68B
560.52%67.74B
398.94%51.54B
415.08%31.01B
154.14%26.87B
-482.22%-41.67B
Cash from discontinued operating activities
Operating cash flow
-96.19%3.28B
-133.43%-12.68B
-86.53%4.1B
-99.27%314M
145.98%11.54B
487.62%86.07B
10,847.03%37.94B
1,067.17%30.47B
568.52%42.77B
-192.03%-25.11B
Investing cash flow
Cash flow from continuing investing activities
-99.31%711M
-607.87%-1.1B
60.10%-741M
-98.85%1.23B
154.95%1.32B
928.50%103.12B
105.39%216M
51.29%-1.86B
9,600.00%107.16B
31.61%-2.4B
Net investment purchase and sale
164.01%2.42B
-203.99%-625M
78.78%-323M
298.81%1.67B
184.21%1.7B
70.23%-3.78B
116.07%601M
63.49%-1.52B
50.21%-838M
34.84%-2.02B
Net PPE purchase and sale
-17.28%-1.9B
-4.39%-476M
-64.48%-551M
-7.49%-488M
-2.67%-385M
-9.31%-1.62B
-47.10%-456M
19.08%-335M
-27.53%-454M
6.72%-375M
Net business purchase and sale
64.10%192M
-94.37%4M
--133M
----
----
-93.23%117M
57.78%71M
--0
----
----
Net other investing changes
-100.00%-2M
---1M
----
----
0.00%-1M
--108.41B
--0
--0
--108.41B
---1M
Cash from discontinued investing activities
Investing cash flow
-99.31%709M
-608.33%-1.1B
60.04%-742M
-98.85%1.23B
154.88%1.32B
928.50%103.12B
105.39%216M
51.30%-1.86B
9,600.09%107.16B
31.58%-2.4B
Financing cash flow
Cash flow from continuing financing activities
-44.46%-84.17B
28.13%-4.09B
34.00%-18.16B
11.83%-21.1B
-3,518.62%-40.82B
-540.59%-58.26B
-3,526.75%-5.69B
-438.61%-27.51B
-8,408.33%-23.93B
72.61%-1.13B
Change in federal funds and securities sold for repurchase
--1.53B
---281M
--1B
--1.86B
---1.05B
----
----
----
----
----
Net issuance payments of debt
-49.83%-79.53B
35.79%-3.07B
33.48%-18.19B
11.18%-19.68B
-3,346.51%-38.6B
-6,502.36%-53.08B
-485.08%-4.78B
-628.12%-27.34B
-695.75%-22.16B
159.21%1.19B
Net commonstock issuance
-5.18%-2.92B
48.01%-353M
-2,277.78%-784M
-1,578.18%-813M
55.59%-973M
53.73%-2.78B
46.15%-679M
102.94%36M
103.36%55M
-16.17%-2.19B
Cash dividends paid
-34.37%-2.26B
--0
--0
----
----
-0.66%-1.68B
--0
--0
----
----
Net other financing activities
-36.89%-987M
-63.33%-392M
8.21%-190M
-43.92%-213M
-52.38%-192M
-17.05%-721M
-79.10%-240M
-59.23%-207M
-16.54%-148M
44.00%-126M
Cash from discontinued financing activities
Financing cash flow
-44.46%-84.17B
28.13%-4.09B
34.00%-18.16B
11.83%-21.1B
-3,518.62%-40.82B
-540.66%-58.26B
-3,573.55%-5.69B
-438.50%-27.51B
-8,379.58%-23.93B
72.61%-1.13B
Net cash flow
Beginning cash position
74.18%340.21B
-5.78%275.41B
-5.65%278.96B
78.87%299.5B
74.23%340.31B
-6.04%195.32B
54.08%292.3B
42.20%295.66B
-25.52%167.44B
-6.04%195.32B
Current changes in cash
-161.24%-80.18B
-155.06%-17.87B
-1,448.77%-14.8B
-115.52%-19.55B
2.34%-27.96B
1,999.19%130.93B
819.39%32.46B
109.09%1.1B
1,364.09%126B
-245.64%-28.63B
Effect of exchange rate changes
-214.22%-15.94B
-187.03%-13.45B
352.21%11.24B
-139.81%-881M
-1,820.48%-12.85B
346.60%13.96B
52.55%15.45B
27.32%-4.46B
131.96%2.21B
127.35%747M
End cash position
-28.25%244.09B
-28.25%244.09B
-5.78%275.41B
-5.65%278.96B
78.87%299.5B
74.18%340.21B
74.18%340.21B
54.08%292.3B
42.20%295.66B
-25.52%167.44B
Free cash flow
-98.49%1.27B
-135.27%-13.22B
-88.21%3.55B
-100.44%-186M
143.68%11.13B
548.90%84.38B
4,698.65%37.48B
942.27%30.07B
545.99%42.32B
-194.81%-25.48B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -96.19%3.28B-133.43%-12.68B-86.53%4.1B-99.27%313M145.99%11.55B487.65%86.07B10,786.48%37.94B1,067.69%30.46B568.47%42.77B-192.03%-25.1B
Net income from continuing operations -81.21%5.15B380.58%780M300.70%1.43B-95.70%1.18B70.11%1.76B257.42%27.38B-116.79%-278M-140.79%-711M1,190.56%27.33B-51.63%1.04B
Operating gains losses -117.48%-43M-7.69%312M-1,314.29%-340M234.78%31M52.58%-46M116.38%246M158.08%338M115.91%28M97.00%-23M-521.74%-97M
Depreciation and amortization 1.28%3.8B-29.45%994M5.89%1.01B4.27%903M70.48%895M81.95%3.75B159.01%1.41B87.01%950M72.17%866M3.75%525M
Deferred tax 28.67%-495M-37.82%-747M206.84%125M-142.86%-17M614.29%144M-240.49%-694M-685.51%-542M-154.93%-117M-105.43%-7M-112.67%-28M
Other non cashItems 150.33%17.06B129.78%10.57B-347.48%-7.63B26.44%832M406.90%13.3B-215.62%-33.9B-1,125.14%-35.48B40.50%-1.71B128.52%658M198.20%2.62B
Change in working capital -123.09%-20.8B-154.10%-24.56B-69.58%9.86B-105.05%-2.07B85.92%-4.04B394.31%90.1B3,432.92%45.4B1,598.70%32.4B576.09%40.96B-203.43%-28.66B
-Change in loans -88.45%2.58B-316.08%-25.54B-35.51%899M88.57%26.58B-95.05%644M180.48%22.36B-133.13%-6.14B117.04%1.39B173.49%14.09B-22.59%13.01B
-Change in other working capital -134.52%-23.39B-98.11%976M-71.11%8.96B-206.59%-28.64B88.77%-4.68B560.52%67.74B398.94%51.54B415.08%31.01B154.14%26.87B-482.22%-41.67B
Cash from discontinued operating activities
Operating cash flow -96.19%3.28B-133.43%-12.68B-86.53%4.1B-99.27%314M145.98%11.54B487.62%86.07B10,847.03%37.94B1,067.17%30.47B568.52%42.77B-192.03%-25.11B
Investing cash flow
Cash flow from continuing investing activities -99.31%711M-607.87%-1.1B60.10%-741M-98.85%1.23B154.95%1.32B928.50%103.12B105.39%216M51.29%-1.86B9,600.00%107.16B31.61%-2.4B
Net investment purchase and sale 164.01%2.42B-203.99%-625M78.78%-323M298.81%1.67B184.21%1.7B70.23%-3.78B116.07%601M63.49%-1.52B50.21%-838M34.84%-2.02B
Net PPE purchase and sale -17.28%-1.9B-4.39%-476M-64.48%-551M-7.49%-488M-2.67%-385M-9.31%-1.62B-47.10%-456M19.08%-335M-27.53%-454M6.72%-375M
Net business purchase and sale 64.10%192M-94.37%4M--133M---------93.23%117M57.78%71M--0--------
Net other investing changes -100.00%-2M---1M--------0.00%-1M--108.41B--0--0--108.41B---1M
Cash from discontinued investing activities
Investing cash flow -99.31%709M-608.33%-1.1B60.04%-742M-98.85%1.23B154.88%1.32B928.50%103.12B105.39%216M51.30%-1.86B9,600.09%107.16B31.58%-2.4B
Financing cash flow
Cash flow from continuing financing activities -44.46%-84.17B28.13%-4.09B34.00%-18.16B11.83%-21.1B-3,518.62%-40.82B-540.59%-58.26B-3,526.75%-5.69B-438.61%-27.51B-8,408.33%-23.93B72.61%-1.13B
Change in federal funds and securities sold for repurchase --1.53B---281M--1B--1.86B---1.05B--------------------
Net issuance payments of debt -49.83%-79.53B35.79%-3.07B33.48%-18.19B11.18%-19.68B-3,346.51%-38.6B-6,502.36%-53.08B-485.08%-4.78B-628.12%-27.34B-695.75%-22.16B159.21%1.19B
Net commonstock issuance -5.18%-2.92B48.01%-353M-2,277.78%-784M-1,578.18%-813M55.59%-973M53.73%-2.78B46.15%-679M102.94%36M103.36%55M-16.17%-2.19B
Cash dividends paid -34.37%-2.26B--0--0---------0.66%-1.68B--0--0--------
Net other financing activities -36.89%-987M-63.33%-392M8.21%-190M-43.92%-213M-52.38%-192M-17.05%-721M-79.10%-240M-59.23%-207M-16.54%-148M44.00%-126M
Cash from discontinued financing activities
Financing cash flow -44.46%-84.17B28.13%-4.09B34.00%-18.16B11.83%-21.1B-3,518.62%-40.82B-540.66%-58.26B-3,573.55%-5.69B-438.50%-27.51B-8,379.58%-23.93B72.61%-1.13B
Net cash flow
Beginning cash position 74.18%340.21B-5.78%275.41B-5.65%278.96B78.87%299.5B74.23%340.31B-6.04%195.32B54.08%292.3B42.20%295.66B-25.52%167.44B-6.04%195.32B
Current changes in cash -161.24%-80.18B-155.06%-17.87B-1,448.77%-14.8B-115.52%-19.55B2.34%-27.96B1,999.19%130.93B819.39%32.46B109.09%1.1B1,364.09%126B-245.64%-28.63B
Effect of exchange rate changes -214.22%-15.94B-187.03%-13.45B352.21%11.24B-139.81%-881M-1,820.48%-12.85B346.60%13.96B52.55%15.45B27.32%-4.46B131.96%2.21B127.35%747M
End cash position -28.25%244.09B-28.25%244.09B-5.78%275.41B-5.65%278.96B78.87%299.5B74.18%340.21B74.18%340.21B54.08%292.3B42.20%295.66B-25.52%167.44B
Free cash flow -98.49%1.27B-135.27%-13.22B-88.21%3.55B-100.44%-186M143.68%11.13B548.90%84.38B4,698.65%37.48B942.27%30.07B545.99%42.32B-194.81%-25.48B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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