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In CHF million   Note   2016   2015
Net income       1,604   1,362
Share of results of associates   25    3   (23)
Income tax expense   15    386   401
Depreciation, amortisation and impairment losses   23, 24    2,145   2,086
Expense for share-based payments   11    3   2
Gain on sale of property, plant and equipment   13    (20)   (27)
Loss on disposal of property, plant and equipment   12    9   10
Financial income   14    (80)   (43)
Financial expense   14    235   315
Change in operating assets and liabilities   34    (95)   134
Income taxes paid   15    (328)   (350)
Cash flow from operating activities       3,862   3,867
Capital expenditure for tangible and other intangible assets   23, 24, 34    (2,416)   (2,427)
Proceeds from sale of tangible and other intangible assets       27   61
Proceeds from sale of non-current assets held for sale   22      109
Acquisition of subsidiaries, net of cash and cash equivalents acquired   5    (38)   (64)
Proceeds from sale subsidiaries, net of cash and cash equivalents sold   5      33
Investments in associates       (3)   (43)
Proceeds from sale of associates   25    88  
Purchase of other financial assets       (196)   (93)
Proceeds from other financial assets       92   34
Interest received       27   12
Dividends received   25    17   23
Cash flow used in investing activities       (2,402)   (2,355)
Issuance of financial liabilities   26    898   1,287
Repayment of financial liabilities   26    (999)   (1,419)
Interest paid       (184)   (200)
Dividends paid to equity holders of Swisscom Ltd   32    (1,140)   (1,140)
Dividends paid to non-controlling interests       (8)   (7)
Acquisition of non-controlling interests   31      (5)
Purchase of treasury shares for share-based payments   11, 31    (4)   (2)
Other cash flows from financing activities   34    (16)   2
Cash flow used in financing activities       (1,453)   (1,484)
Net increase in cash and cash equivalents       7   28
Cash and cash equivalents at 1 January       324   302
Foreign currency translation adjustments in respect of cash and cash equivalents       (2)   (6)
Cash and cash equivalents at 31 December       329   324