Consolidated Statement of Cash Flow I

Consolidated statement of cash flows for the years ended 31 December
In CHF million 
  20092008
 
Cash flows from operating activities
 
Premiums, policy fees and deposits received, net of reinsurance
  13 95915 744
Benefits and claims paid, net of reinsurance
  –13 412–17 610
Interest received
  3 5213 777
Dividends received
  139416
Commissions received
  9051 110
Rentals received
  737702
Interest paid
  –67–70
Commissions, employee benefit and other payments
  –3 084–4 570
Net foreign currency gains/losses on cash and cash equivalents
  4369
Net cash flows from
 
derivatives
  3562 116
financial instruments at fair value through profit or loss
  1 487–84
financial assets available for sale
  –7 5012 672
loans
  2 6371 176
financial assets held to maturity
  675–3 998
investment property
  –386–256
other operating assets and liabilities
  –1353 342
Net cash flows from operating activities before income tax
  –1264 536
Income taxes paid
  –84–176
Total net cash flows from operating activities
  –2104 360