Credit Suisse Group Cash on Hand 2014-2023 | CS

Credit Suisse Group cash on hand from 2014 to 2023. Cash on hand can be defined as cash deposits at financial institutions that can immediately be withdrawn at any time, and investments maturing in one year or less that are highly liquid and therefore regarded as cash equivalents and reported with or near cash line items.
Credit Suisse Group Annual Cash on Hand
(Millions of US $)
2022 $202,446
2021 $417,058
2020 $401,981
2019 $365,776
2018 $358,338
2017 $388,451
2016 $428,377
2015 $423,545
2014 $530,661
2013 $496,184
2012 $537,351
2011 $
2010 $
2009 $
Credit Suisse Group Quarterly Cash on Hand
(Millions of US $)
2022-12-31 $202,446
2022-09-30 $360,132
2022-06-30 $378,588
2022-03-31 $401,974
2021-12-31 $417,058
2021-09-30 $419,969
2021-06-30 $409,246
2021-03-31 $423,359
2020-12-31 $401,981
2020-09-30 $428,577
2020-06-30 $409,762
2020-03-31 $391,636
2019-12-31 $365,776
2019-09-30 $372,418
2019-06-30 $351,702
2019-03-31 $358,083
2018-12-31 $358,338
2018-09-30 $345,989
2018-06-30 $372,239
2018-03-31 $401,218
2017-12-31 $388,451
2017-09-30 $404,166
2017-06-30 $387,211
2017-03-31 $399,169
2016-12-31 $428,377
2016-09-30 $414,574
2016-06-30 $427,241
2016-03-31 $421,813
2015-12-31 $423,545
2015-09-30 $443,963
2015-06-30 $476,580
2015-03-31 $493,912
2014-12-31 $530,661
2014-09-30 $561,202
2014-06-30 $528,157
2014-03-31 $524,012
2013-12-31 $496,184
2013-09-30 $512,663
2013-06-30 $506,649
2013-03-31 $541,820