Credit Suisse Group Current Ratio 2014-2023 | CS

Credit Suisse Group current ratio from 2014 to 2023. Current ratio can be defined as a liquidity ratio that measures a company's ability to pay short-term obligations.
Current Ratio Historical Data
Date Current Assets Current Liabilities Current Ratio
2023-03-31 $526.78B $340.67B 1.55
2022-12-31 $493.74B $310.36B 1.59
2022-09-30 $662.98B $472.09B 1.40
2022-06-30 $689.92B $502.04B 1.37
2022-03-31 $733.39B $531.50B 1.38
2021-12-31 $754.45B $540.47B 1.40
2021-09-30 $774.93B $542.88B 1.43
2021-06-30 $774.69B $542.82B 1.43
2021-03-31 $812.32B $575.88B 1.41
2020-12-31 $751.67B $531.10B 1.42
2020-09-30 $789.01B $550.69B 1.43
2020-06-30 $761.13B $528.22B 1.44
2020-03-31 $769.63B $551.70B 1.40
2019-12-31 $700.36B $497.85B 1.41
2019-09-30 $715.17B $496.12B 1.44
2019-06-30 $686.42B $470.84B 1.46
2019-03-31 $694.57B $474.34B 1.46
2018-12-31 $692.14B $478.34B 1.45
2018-09-30 $684.27B $453.16B 1.51
2018-06-30 $710.02B $485.27B 1.46
2018-03-31 $756.36B $518.53B 1.46
2017-12-31 $719.88B $475.71B 1.51
2017-09-30 $727.78B $483.46B 1.51
2017-06-30 $706.22B $473.03B 1.49
2017-03-31 $716.03B $470.68B 1.52
2016-12-31 $742.52B $479.19B 1.55
2016-09-30 $736.42B $470.34B 1.57
2016-06-30 $752.85B $480.41B 1.57
2016-03-31 $729.74B $480.39B 1.52
2015-12-31 $743.60B $487.03B 1.53
2015-09-30 $779.64B $533.28B 1.46
2015-06-30 $815.11B $564.26B 1.45
2015-03-31 $826.54B $584.70B 1.41
2014-12-31 $874.47B $616.93B 1.42
2014-09-30 $919.07B $650.42B 1.41
2014-06-30 $877.92B $636.43B 1.38
2014-03-31 $860.18B $625.85B 1.37
2013-12-31 $819.06B $590.55B 1.39
2013-09-30 $836.79B $603.70B 1.39
2013-06-30 $844.60B $602.60B 1.40
2013-03-31 $872.60B $640.03B 1.36