19 Consolidated off-balance-sheet positions

in CHF 1,000

30.06.2026

31.12.2025

Total contingent liabilities

120,892

94,683

Irrevocable facilities granted

87,240

77,508

Total fiduciary transactions

359,977

346,293

Contract volumes of derivative financial instruments

6,087,685

5,513,372

Securities lending and repurchase and reverse-repurchase transactions

Amounts receivable arising from cash deposits in connection with securities borrowing and reverse-repurchase transactions

400,000

0

Amounts payable arising from cash deposits in connection with securities lending and repurchase transactions

0

229,998

Securities lent out within the scope of securities lending or delivered as collateral within the scope of securities borrowing activities, as well as securities in own portfolio transferred within the framework of repurchase transactions

528,171

589,254

of which securities where the unlimited right to sell on or pledge has been granted

313,988

456,237

Securities received as collateral within the scope of securities lending or borrowed within the scope of securities borrowing activities, as well as received under reverse-repurchase transactions, where the unlimited right to sell on or further pledge has been granted

909,150

356,003

of which securities which have been resold or repledged

214,183

133,017

These transactions were conducted under conditions which are customary for securities lending and borrowing activities as well as trades for which VP Bank acts as intermediary.