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2nd Interim Report 2019
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Table of contents for the 2nd Interim Report 2019 report

2nd Interim Report 2019
KPIsFinancial review
SummaryChange in accounting policiesSegment resultsDepreciation and amortisation, non operating resultsCash flowsBalance sheetOutlook
Consolidated interim financial statements
Consolidated statement of comprehensive income (unaudited)Consolidated balance sheet (unaudited)Consolidated statement of cash flows (unaudited)Consolidated statement of changes in equity (unaudited)
Notes to the interim financial statements
About this report1 Changes in accounting policies2 Segment information3 Operating costs4 Dividends5 Financial liabilities6 Leases7 Financial result8 Operating net working capital9 Intangible assets10 Provisions and contingent liabilities
Further information
Share informationQuarterly review 2018 and 2019Forward looking statements
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Consolidated statement of changes in equity (unaudited)


In CHF million
 


Share
capital
 


Capital
reserves
 


Retained
earnings
 
Foreign
currency
translation
adjustments
 


Other
reserves
  Equity
attributable
to equity
holders of
Swisscom
 

Non-
controlling
interests
 


Total
equity
Balance at 1 January 2018   52   136   9,452   (1,689)   (2)   7,949   (11)   7,938
Net income   –   –   790   –   –   790   (3)   787
Other comprehensive income   –   –   107   (3)   8   112   –   112
Comprehensive income   –   –   897   (3)   8   902   (3)   899
Dividends paid   –   –   (1,140)   –   –   (1,140)   (1)   (1,141)
Other changes   –   –   (13)   –   –   (13)   2   (11)
Balance at 30 June 2018   52   136   9,196   (1,692)   6   7,698   (13)   7,685
                                 
Balance at 31 December 2018   52   136   9,759   (1,728)   4   8,223   (15)   8,208
Net income   –   –   782   –   –   782   (2)   780
Other comprehensive income   –   –   43   (20)   3   26   –   26
Comprehensive income   –   –   825   (20)   3   808   (2)   806
Dividends paid   –   –   (1,140)   –   –   (1,140)   (1)   (1,141)
Other changes   –   –   (3)   –   –   (3)   20   17
Balance at 30 June 2019   52   136   9,441   (1,748)   7   7,888   2   7,890