9 Financial liabilities

 

 

 

 

 

(CHF million)

 

30.06.2023

 

31.12.2022

Non-current debentures

 

914.6

 

1,214.2

Non-current liabilities to banks

 

145.3

 

123.3

Non-current lease liabilities

 

154.1

 

156.5

Non-current liabilities from concession agreements

 

6.0

 

5.9

Other non-current financial liabilities

 

20.4

 

20.4

Non-current financial liabilities

 

1,240.4

 

1,520.3

 

 

 

 

 

Current debentures

 

299.8

 

400.0

Current liabilities to banks

 

15.0

 

12.3

Current lease liabilities

 

9.1

 

9.1

Current liabilities from concession agreements

 

0.8

 

0.7

Other current financial liabilities

 

0.0

 

0.8

Current financial liabilities

 

324.7

 

422.9

 

 

 

 

 

Total financial liabilities

 

1,565.1

 

1,943.2

The CHF 400.0 million debenture reaching maturity was fully repaid in April of the reporting period. In addition, the CHF 300.0 million debenture maturing in May 2024 was reclassified out of non-current and into current financial liabilities.

The rise in non-current liabilities to banks to CHF 145.3 million (31 December 2022: CHF 123.3 million) is attributable to additional liabilities held by the foreign airport operators as a result of their expansion activities.

The maturities and terms of the debentures outstanding at the reporting date were as follows:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

as at 30.06.2023

 

as at 30.06.2023

 

 

 

 

 

 

 

 

Debentures

 

Nominal value

 

Carrying amount

 

Duration

 

Interest rate

 

Early amortisation

 

Interest payment date

 

 

(CHF million)

 

30.06.2023

 

 

 

 

 

 

 

 

Debenture (2024)

 

300.0

 

299.8

 

2020 – 2024

 

0.700% 

 

no

 

22.5.

Debenture (2027)

 

200.0

 

199.7

 

2020 – 2027

 

0.100% 

 

no

 

30.12.

Debenture (2029)

 

350.0

 

350.4

 

2017 – 2029

 

0.625% 

 

no

 

24.5.

Debenture (2035)

 

365.0

 

364.5

 

2020 – 2035

 

0.200% 

 

no

 

26.2.

Total debentures

 

 

 

1,214.4

 

 

 

 

 

 

 

 

As at the reporting date, Zurich Airport Ltd. had the following credit facilities at its disposal:

 

 

 

 

 

 

 

(CHF million)

 

Duration

 

30.06.2023

 

31.12.2022

Operating credit lines (committed credit lines)

 

31.12.2025

 

300.0

 

300.0

Total credit lines

 

 

 

300.0

 

300.0

Utilisation: bank guarantees

 

 

 

–11.0

 

–11.2

Total unused credit lines

 

 

 

289.0

 

288.8