Debt issued designated at fair value (Table) |
6 Months Ended |
---|---|
Jun. 30, 2025 | |
Disclosure Of Financial Liabilities [Line Items] | |
Debt issued designated at fair value | Debt issued designated at fair value USD m 30.6.25 31.3.25 31.12.24 Equity-linked 1 59,645 57,151 54,069 Rates-linked 23,607 23,778 23,641 Credit-linked 4,197 5,354 5,225 Fixed-rate 14,180 14,352 14,250 Commodity-linked 3,140 3,462 3,592 Other 8,752 7,995 7,131 of which: debt that contributes to total loss-absorbing capacity 5,751 5,263 4,934 Total debt issued designated at fair value 2 113,522 112,092 107,909 of which: issued by UBS AG standalone with original maturity greater 3 89,883 85,588 82,491 of which: issued by Credit Suisse International standalone 3 2 110 96 1 Includes investment 100 % of Total 100 % and 31 100 %). 3 Based on original contractual maturity without considering any early redemption features. |