Financial statements of CPH Chemie + Papier Holding AG

Balance sheet

in CHF thousands

Note

31.12.2023

31.12.2022

Assets

Cash and cash equivalents

31 788

75 672

Other receivables from third parties

6 110

4 095

Other receivables from group companies

1 322

687

Prepayments and accrued income

10

23

Total current assets

39 230

80 477

Tangible fixed assets

-

20

Loans granted to group companies

1

259 016

340 334

Investments

2

88 671

88 671

Total fixed assets

347 687

429 025

Total assets

386 917

509 502

Equity and liabilities

Interest-bearing liabilities due to third parties

3

-

98 753

Other payables due to third parties

389

345

Accrued liabilities and deferred income

1 163

1 206

Total current liabilities

1 552

100 304

Share capital

4

1 200

1 200

Statutory capital contribution reserves

7

7

Own shares

5

‑ 408

-

Statutory retained earnings

10 016

10 016

Retained earnings

370 986

365 416

Net result of the year

3 564

32 559

Total shareholders’ equity

385 365

409 198

Total liabilities and equity

386 917

509 502