-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, JLOuLbKynyJn997a/X7OOqwh7n+WedLfO7vrjNu7likFirFXxpgdRJtk6bW6KrCe nsCIV27rkZSZN+5ohb6ySw== 0000950123-03-012483.txt : 20031112 0000950123-03-012483.hdr.sgml : 20031111 20031112061939 ACCESSION NUMBER: 0000950123-03-012483 CONFORMED SUBMISSION TYPE: 6-K PUBLIC DOCUMENT COUNT: 57 CONFORMED PERIOD OF REPORT: 20031111 FILED AS OF DATE: 20031112 FILER: COMPANY DATA: COMPANY CONFORMED NAME: UBS AG CENTRAL INDEX KEY: 0001114446 STANDARD INDUSTRIAL CLASSIFICATION: NATIONAL COMMERCIAL BANKS [6021] IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 6-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-15060 FILM NUMBER: 03990263 BUSINESS ADDRESS: STREET 1: BAHNHOFSTRASSE 45 STREET 2: P O BOX CH 8098 CITY: ZURICH STATE: V8 ZIP: - BUSINESS PHONE: 41-1-234-4100 MAIL ADDRESS: STREET 1: BAHNHOFSTRASSE 45 STREET 2: P O BOX CH 8098 CITY: ZURICH STATE: V8 ZIP: - 6-K 1 y91544e6vk.htm FORM 6-K FORM 6-K
 



SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549


FORM 6-K

REPORT OF FOREIGN ISSUER

PURSUANT TO RULE 13a-16 OR 15d-16 OF
THE SECURITIES EXCHANGE ACT OF 1934

Date: November 11, 2003

UBS AG

(Registrant’s Name)

Bahnhofstrasse 45, Zurich, Switzerland, and
Aeschenvorstadt 1, Basel, Switzerland
(Registrant’s Address)

Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F.

Form 20-F   x       Form 40-F   o

Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.

Yes  o       No  x

If “Yes” is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): 82-

 


 

Shareholders’ Letter
UBS Results
Wealth Management & Business Banking
Global Asset Management
Investment Bank
Wealth Management USA
Corporate Center
UBS Income Statement (unaudited)
UBS Balance Sheet (unaudited)
UBS Statement of Changes in Equity (unaudited)
UBS Statement of Cash Flows (unaudited)
Notes to the Financial Statements (unaudited)
UBS Registered Shares
INCORPORATION BY REFERENCE
SIGNATURES

     This Form 6-K consists of the Third Quarter 2003 Report, which appears immediately following this page.

 


 

      

(UBS LOGO)

Financial Reporting

 

(3Q03 COVER GRAPHIC)

 


 

      

Third Quarter 2003 Report
11 November 2003

 

UBS Financial Highlights

1   Operating expenses/operating income less credit loss expense or recovery.
 
2   For the EPS calculation, see Note 8 to the Financial Statements.
 
3   Year to date annualized net profit/average shareholders’ equity less dividends.
 
4   Includes hybrid Tier 1 capital, please refer to the BIS capital and ratios table in the UBS Results section.
 
5   Excludes the amortization of goodwill and other intangible assets.
 
6   Details of significant financial events can be found in the UBS Results section on page 7.
 
7   Operating expenses less the amortization of goodwill and other intangible assets and significant financial events/operating income less credit loss expense or recovery and significant financial events.
 
8   Net profit less the amortization of goodwill and other intangible assets and significant financial events (after tax)/weighted average shares outstanding.
 
9   Net profit for diluted EPS less the amortization of goodwill and other intangible assets and significant financial events (after tax)/weighted average shares outstanding for diluted EPS.
 
10   Year to date annualized net profit less the amortization of goodwill and other intangible assets and significant financial events (after tax)/average shareholders’ equity less dividends.

Throughout this report, 2002 segment results have been restated to reflect the transfer of the Private Banks & GAM to Corporate Center.

All financial information included in this report is unaudited, except for balance sheet information as at 31 December 2002, which is audited.

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income statement key figures
                                                       
Operating income
  8,490     9,111       8,000       (7 )     6       25,374       26,597  
Operating expenses
  6,353     6,788       6,788       (6 )     (6 )     19,318       21,801  
Operating profit before tax
  2,137     2,323       1,212       (8 )     76       6,056       4,796  
Net profit
  1,673     1,639       942       2       78       4,526       3,636  
Cost/income ratio (%)1
  75.1     74.7       83.9                       76.0       81.3  

Per share data (CHF)
                                                       
Basic earnings per share2
  1.52     1.44       0.79       6       92       4.00       2.98  
Diluted earnings per share2
  1.47     1.42       0.76       4       93       3.93       2.84  

Return on shareholders’ equity (%)3
                                            16.9       11.8  

                                                         
                            % change from              
CHF million, except where indicated                          
             
As at   30.9.03     30.6.03     31.12.02     30.6.03     31.12.02              

Balance sheet key figures
                                                       
Total assets
  1,328,140     1,365,491       1,181,118       (3 )     12                  
Shareholders’ equity
  35,704     36,692       38,991       (3 )     (8 )                

Market capitalization
  84,440     88,219       79,448       (4 )     6                  

BIS capital ratios
                                                       
Tier 1 (%)4
  11.5     12.0       11.3                                  
Total BIS (%)
  13.3     14.0       13.8                                  
Risk-weighted assets
  241,533     243,032       238,790       (1 )     1                  

Invested assets (CHF billion)
  2,182     2,168       2,037       1       7                  

Headcount (full-time equivalents)
                                                       
Switzerland
  26,901     27,209       27,972       (1 )     (4 )                
Europe (excluding Switzerland)
  9,922     10,063       10,009       (1 )     (1 )                
Americas
  25,506     25,914       27,350       (2 )     (7 )                
Asia/Pacific
  3,824     3,787       3,730       1       3                  
Total
  66,153     66,973       69,061       (1 )     (4 )                

Long-term ratings
                                                       
Fitch, London   AA+     AAA     AAA                                  
Moody’s, New York   Aa2     Aa2     Aa2                                  
Standard & Poor’s, New York   AA+     AA+     AA+                                  

Earnings adjusted for significant financial events and pre-goodwill5, 6

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Operating income
  8,490     8,950       8,000       (5 )     6       25,213       26,442  
Operating expenses
  6,115     6,550       6,483       (7 )     (6 )     18,600       20,858  
Operating profit before tax
  2,375     2,400       1,517       (1 )     57       6,613       5,584  
Net profit
  1,911     1,875       1,247       2       53       5,242       4,454  

Cost/income ratio (%)7
  72.2     73.4       80.1                       73.6       78.2  
Basic earnings per share (CHF)8
  1.73     1.65       1.04       5       66       4.64       3.65  
Diluted earnings per share (CHF)9
  1.68     1.62       1.01       4       66       4.55       3.50  

Return on shareholders’ equity (%)10
                                            19.5       14.6  

 

 


 

      

Third Quarter 2003 Report
11 November 2003

 

Contents

         
Shareholders’ Letter     2  
         
UBS Results     4  
         
Wealth Management &
Business Banking
    16  
         
Global
Asset Management
    25  
         
Investment Bank     31  
         
Wealth Management USA     40  
         
Corporate Center     45  
         
Financial Statements        
UBS Income Statement     47  
UBS Balance Sheet     48  
UBS Statement of        
Changes in Equity     49  
UBS Statement of
Cash Flows
    50  
Notes to the
Financial Statements
    51  
         
UBS Registered Shares     60  
     
Financial Calendar    

Publication of Fourth Quarter 2003 results   Tuesday, 10 February 2004

Publication of Annual Report 2003   Wednesday, 17 March 2004

Annual General Meeting   Thursday, 15 April 2004

Publication of First Quarter 2004 results   Tuesday, 4 May 2004

         
UBS Investor Relations        

Hotline: +41 1 234 4100   email: sh-investorrelations@ubs.com   Web: www.ubs.com/investors

             
Zurich       New York    

Christian Gruetter   +41 1 234 4360   Richard Feder   +1 212 713 6142

Oliver Lee   +41 1 234 2733   Christopher McNamee   +1 212 713 3091

Cate Lybrook   +41 1 234 2281        

Fax   +41 1 234 3415   Fax   +1 212 713 1381

     
UBS AG   UBS Americas Inc.
Investor Relations G41B   Investor Relations
P.O. Box   135 West 50th Street, 10th Floor
CH-8098 Zurich   New York, NY 10020
Switzerland   United States of America

             
UBS Shareholder Services   US Transfer Agent

             
UBS AG   Mellon Investor Services
Shareholder Services GUMV   Overpeck Centre
P.O. Box   85 Challenger Road
CH-8098 Zurich   Ridgefield Park, NJ 07660
Switzerland   United States of America
Phone:   +4112356202        
Fax:   +4112353154   calls from the US   +1 866 541 9689
email:   sh-shareholder-services@ubs.com   calls outside the US   +1 201 329 8451
        Fax:   +1 201 296 4801

         
UBS Media Relations        

Hotline: +41 1 234 8500   email: sh-gpr@ubs.com   Web: www.ubs.com/media

Interactive Third Quarter 2003 Report

An interactive version of this report can be viewed online in the Third Quarter 2003 Results section of the UBS Investors & Analysts website: www.ubs.com/investors.

Other reports

All UBS’s published financial reports (including SEC filings) are available on the internet at: www.ubs.com/investors. Alternatively, printed copies of our reports can be obtained from: UBS AG, Economic Information Center, P.O. Box, CH-8098 Zurich, Switzerland. email: sh-iz-ubs-publikationen@ubs.com.

 

1


 

      

Third Quarter 2003 Report
11 November 2003

 

Shareholders’ Letter

     
(PHOTO OF MARCEL OSPEL AND PETER WUFFLI)
     
    Dear Shareholders,
     
   
We are pleased to report our most profitable quarter in three years. We have benefited from recovering equity markets and improving sentiment while securing substantial competitive gains – demonstrated most visibly by the CHF 20 billion in net new assets that clients have brought to UBS in third quarter. At the same time, we have retained our cost discipline, pushing our pre-goodwill cost/income ratio to its lowest since PaineWebber became part of UBS. In particular, we were able to significantly reduce costs in our Swiss domestic and US wealth management businesses.
   
     Net profit for the quarter was CHF 1,673 million (up 78% from third quarter 2002). Before goodwill, net profit was CHF 1,911 million, up 53% from a year earlier. All our businesses have increased profits and improved their

cost / income ratios compared to third quarter 2002. This strong business performance, combined with our continued share buybacks, has helped us significantly improve shareholder returns, with pre-goodwill return on equity for the year close to 20%.

     Our wealth management businesses around the world reported total net new money inflows of CHF 15.1 billion, the strongest result for over two years. Our European wealth management business again excelled with net new money inflows of CHF 2.8 billion and revenues up 57% from a year earlier. We also recorded strong inflows from Asian clients, and in the US we again outperformed most peers.
     Operating income was up 6% from third quarter last year, particularly benefiting from improved fee and commission income. Corporate finance fees increased, reflecting a pick-up in corporate activity, but more importantly, our competitive gains. Asset-based and investment fund fees are benefiting from recovering equity market valuations. Our Investment Bank’s Fixed Income, Rates and Currencies business has grown substantially over the last year. Although results were slightly lower compared to the exceptionally strong first two quarters of the year, it was a very positive performance in view of the turbulent bond markets in third quarter. Compared to third quarter 2002, private equity writedowns have significantly fallen.
     Costs remained under tight control and were cut in almost all categories. Operating expenses fell 6% compared to third quarter 2002. Accruals for performance-related compensation rose in line with higher revenues, but were offset by lower salary expenses, reflecting a 5% year on year decrease in headcount. Lean structures and careful management of resources have proven to be a crucial success factor during the recent downturn in the financial services industry. We will therefore continue to streamline our processes across the firm and closely monitor our staffing levels, keeping productivity levels competitively high.

 

2


 

      

     The performance of our credit portfolio reflects the initial signs of global economic recovery. We realized a net recovery of CHF 26 million this quarter, compared to a net credit loss expense of CHF 95 million a year ago.

The progress of our organic growth drive continues. In Asia, for example, we were the first financial services firm to offer clients direct access to the Chinese domestic financial market. This strategy of organic growth has been boosted by a series of small acquisitions that expand the presence of our core businesses. For example, our recently announced acquisition of Merrill Lynch’s German private client business will significantly enhance our profile in the German market for wealthy individuals. It is a further step in our systematic effort to expand in our European target markets following the acquisition of Lloyds TSB’s French wealth management business earlier this summer. At the same time, our Investment Bank continues to invest in growth areas, most clearly evidenced by our acquisition of ABN AMRO’s US prime brokerage operations in September.

The success of a company is not only due to pure commercial factors, but also depends on the quality of governance and management. We were therefore pleased when ethos, a Swiss investment foundation, and the Cantonal Bank of Zurich confirmed the quality of our governance structures and financial disclosure in two separate studies released recently which rated us top among Swiss companies. Continuous strengthening of our leadership and clear succession planning are also key priorities for us. In that context, we were pleased to announce the reintroduction of the Chief Financial Officer role with the appointment of current Asia Pacific CEO Clive Standish to that post, effective 1 April 2004. On 1 January 2004, Mark B. Sutton will succeed Joseph J. Grano, Jr. as CEO of Wealth Management USA. We are also proposing that Stephan Haeringer, currently Deputy CEO, be elected to the Board of Directors at the next Annual General Meeting, and that Chief Credit Officer Marco Suter be proposed to the Board a year later, in 2005, to succeed retiring Vice Chairman Alberto Togni. We have also re-established the title of Chief Executive Officer.

The use of employee stock options has been broadly debated in recent times – it is a discussion that you as investors may have been following closely. We recently reviewed the use of options in our compensation schemes. Our conclusion is that the selective use of stock options as an element in our overall compensation strategy gives employees an appropriate long-term incentive to pursue sustainable share price appreciation. Consequently, we will continue to use options, but from 2004 onwards we will be granting them far more selectively than before. We will use them solely to encourage voluntary investments in UBS shares, or offer them as a targeted incentive to those who make key contributions to our long-term success.

Outlook – Throughout the year, market conditions have fluctuated, with trading opportunities shifting from one area to another. We have proven to be well positioned to capture those opportunities at the right times. Our diversified revenue mix, with its stable core of wealth and asset management income, has helped us contain market-driven volatility. Underlying these fluctuations, however, global economies and market conditions have been gradually improving. The stronger and more certain that recovery proves, the more positive the effect on our revenues.

     Our successful track record in delivering consistently excellent results across different market challenges and environments gives us confidence that UBS will continue to offer first-class shareholder returns.
     
     
     
11 November 2003    
     
UBS    
(-s- Marcel Ospel)   (-s- Peter Wuffli)
Marcel Ospel   Peter Wuffli
Chairman   Chief Executive Officer

 

3


 

      

UBS Results
11 November 2003

 

UBS Results

      

Performance Against Targets

                         
Year to date, annualized   30.9.03     30.6.03     30.9.02  

RoE (%)
                       
as reported1
  16.9     15.7       11.8  
before goodwill and adjusted for significant financial events2
  19.5     18.3       14.6  

For the quarter ended
  30.9.03     30.6.03       30.9.02  

Basic EPS (CHF)
                       
as reported3
  1.52     1.44       0.79  
before goodwill and adjusted for significant financial events4
  1.73     1.65       1.04  

Cost/income ratio (%)
                       
as reported5
  75.1     74.7       83.9  
before goodwill and adjusted for significant financial events6
  72.2     73.4       80.1  

Net new money, wealth management units (CHF billion)7
                       
Wealth Management
  9.4     6.5       9.3  
Wealth Management USA
  5.7     3.9       3.4  

Total
  15.1     10.4       12.7  

 

1   Year to date annualized net profit/average shareholders’ equity less dividends.
 
2   Year to date annualized net profit less the amortization of goodwill and other intangible assets and significant financial events (after tax)/average shareholders’ equity less dividends.
 
3   For the EPS calculation, see Note 8 to the Financial Statements.
 
4   Net profit less the amortization of goodwill and other intangible assets and significant financial events (after tax)/weighted average shares outstanding.
 
5   Operating expenses/operating income less credit loss expense or recovery.
 
6   Operating expenses less the amortization of goodwill and other intangible assets and significant financial events/operating income less credit loss expense or recovery and significant financial events.
 
7   Excludes interest and dividend income.
8   Wealth Management and Wealth Management USA.

(BAR CHARTS)

 

4


 

      

Initiatives and achievements

Senior executive appointments

In September, we announced a number of senior executive appointments and succession plans. Effective 2004, Joseph J. Grano Jr. will hand over his post as Chief Executive Officer of the Wealth Management USA business to Mark B. Sutton, currently President. Grano will leave UBS’s Group Executive Board, remaining with the firm as Chairman of the Business Group until the middle of 2004.
     Clive Standish, currently Chairman and Chief Executive Officer Asia Pacific, will become UBS’s Chief Financial Officer (CFO) from 1 April 2004, a move which will significantly strengthen corporate leadership. As CFO, Standish will lead the finance, risk, treasury and strategy functions.
     With the reintroduction of the CFO role, we also decided to re-establish the title of Chief Executive Officer with immediate effect.
     Stephan Haeringer, currently Deputy President of the Group Executive Board, will be proposed for election to UBS’s Board of Directors as an Executive Vice Chairman at the Annual General Meeting on 15 April 2004. A year later, in 2005, Marco Suter, currently Chief Credit Officer, will be proposed for election to the Board where he will succeed Alberto Togni (who reaches retirement age) as Executive Vice Chairman with a special focus on credit risk.

Use of options in compensation

We recently reviewed how UBS options should be awarded to employees from 2004 onwards. Our conclusion is that the targeted use of stock options as an element in our overall compensation strategy gives employees an appropriate long-term incentive to pursue sustainable share price appreciation. Consequently, we will continue to make use of options, although our use of them will be more selective than before. From 2004 onwards, we will distribute options solely to match and hence encourage voluntary investments in UBS shares or as targeted discretionary incentives to top performers who make key contributions to our success.
     As a result of these changes, the number and value of employee stock options awarded are likely to decrease from current levels for grants made in 2004 and thereafter.

Fair value disclosure of options

As part of our quarterly results discussion from now on, we will disclose the pro-forma expense for option awards, net of tax, which would have been incurred if recorded at fair value. In the first nine months of 2003, this expense was CHF 426 million, down from CHF 658 million for the same period a year ago, with the drop mainly attributable to lower share prices at grant.
     The fair value of options granted in first half 2003 was CHF 406 million, compared to CHF 600 million in the same period a year ago. While most employee stock option grants are made in the first half of the year, the increase of CHF 20 million in third quarter reflects additional grants made under the Equity Plus program, an employee participation program under which voluntary investments in UBS shares are matched with option awards. We do not expect further significant grants for the remainder of this year. The final value of options granted in 2003 will be disclosed in our Fourth Quarter 2003 Report.
     We expect the final International Financial Reporting Standard (IFRS) governing the future accounting treatment of employee stock options to be published in first quarter 2004. At that point, we will be in a position to plan how and when option expense will be recorded in our profit and loss accounts.

Results

In third quarter 2003, UBS reported net profit of CHF 1,673 million, up 78% from CHF 942 million in the same quarter a year earlier. Before goodwill amortization, net profit rose 53% in the same period. It was our best quarterly result since 2000 and reflects continued cost management initiatives as well as our ability to capture revenue growth where opportunities arise. All our Business Groups showed an increase in pre-tax profit when compared to a year ago. Operating expenses were at their second lowest level since PaineWebber became part of UBS in fourth quarter 2000. Fee and commission income recovered in third quarter from a year earlier, reflecting improving financial markets, with private equity writedowns falling substantially over the same period.

     Annualized return on equity for the first nine months of 2003 was 16.9%, compared to 11.8% a year earlier. Basic earnings per share were

 

5


 

      

UBS Results
11 November 2003

 

      

CHF 1.52 in third quarter, against CHF 0.79 in the same quarter a year earlier. The cost/income ratio was 75.1% in third quarter 2003, an improvement from 83.9% in the same period a year earlier.

UBS targets

UBS’s performance is reported in accordance with IFRS. Additionally, we provide comments and analysis on an adjusted basis which excludes from the reported amounts certain items we term significant financial events (SFEs). An additional adjustment we use in our results discussion is the exclusion of the amortization of goodwill and other acquired intangible assets.

     These adjustments reflect our internal analysis approach where SFE-adjusted figures before the amortization of goodwill and intangibles are used to assess performance against peers and to estimate future growth potential. In particular, our financial targets have been set in terms of adjusted results, excluding SFEs and the amortization of goodwill and intangibles. All the analysis provided in our internal management accounting is based on operational SFE-adjusted performance. This helps us to illustrate the underlying operational performance of our business, insulated from the impact of individual gain or loss items that are not relevant to our management’s business planning decisions. A policy approved by the Group Executive Board defines which items may be classified as SFEs.
     We focus on four key performance targets, designed to deliver continually improving returns

to our shareholders. These targets are evaluated on this adjusted basis.

     Accordingly, before goodwill and adjusted for SFEs:
 
For the first nine months of 2003 our annualized return on equity was 19.5% – its highest level since 2000, up from 14.6% in the same period a year ago and close to the top of our target range of 15–20%. The increase reflects improving net profit combined with a lower average level of equity due to our continued buyback programs.
 
Basic earnings per share – at their third highest level ever – increased by 66% to CHF 1.73 in third quarter 2003 from CHF 1.04 in the same quarter a year ago. The increase was driven by significantly higher profit as well as the reduced average number of shares outstanding, reflecting our continuous buyback activities. Without the buyback programs in place since 2000, our earnings per share would now have been 14% lower.
 
The cost/income ratio was 72.2% in third quarter 2003, an improvement from 80.1% in the same period last year. This drop pushes the ratio down to its lowest level since the merger with PaineWebber, with improvements in all our Business Groups compared to a year ago. Our ongoing cost management initiatives resulted in lower absolute cost bases in most of our business units, led by significant declines in the Business Banking Switzerland and Wealth Management USA businesses.
Net new money in the wealth management businesses (Wealth Management and Wealth

 

      

Invested Assets

                                         
    Quarter ended     % change from  
   
   
 
CHF billion   30.9.03     30.6.03     30.9.02     30.6.03     30.9.02  

UBS
  2,182     2,168       2,070       1       5  

Wealth Management & Business Banking
                                       
Wealth Management
  693     691       655       0       6  
Business Banking Switzerland
  208     209       202       0       3  

Global Asset Management
                                       
Institutional
  305     297       273       3       12  
Wholesale Intermediary
  267     270       270       (1 )     (1 )

Investment Bank
  3     3       3       0       0  

Wealth Management USA
  626     622       597       1       5  

Corporate Center
                                       
Private Banks & GAM
  80     76       70       5       14  

 

6


 

      

Net New Money1

                                         
    Quarter ended     Year to date  
   
   
 
CHF billion   30.9.03     30.6.03     30.9.02     30.9.03     30.9.02  

UBS
  20.2     14.4       15.2       51.7       27.9  

Wealth Management & Business Banking
                                       
Wealth Management
  9.4     6.5       9.3       23.3       14.9  
Business Banking Switzerland
  (2.4 )     0.3       4.3       (4.0 )     6.4  

Global Asset Management
                                       
Institutional
  6.3     1.1       (3.6 )     11.3       (3.8 )
Wholesale Intermediary
  (1.4 )     1.3       0.8       3.3       (5.5 )

Investment Bank
  0.2     0.1       0.1       0.3       0.4  

Wealth Management USA
  5.7     3.9       3.4       13.3       12.2  

Corporate Center
                                       
Private Banks & GAM
  2.4     1.2       0.9       4.2       3.3  

1 Excludes interest and dividend income.

 

      

Management USA) remained very strong. Inflows in third quarter, at CHF 15.1 billion, were at their third highest level ever and significantly above the CHF 10.4 billion recorded in second quarter. The Wealth Management unit, buoyed by particularly strong results in our European wealth management business and in Asia, attracted a record net new money inflow of CHF 9.4 billion in third quarter. Our Wealth Management USA business, continuing to outperform peers, also saw a strong CHF 5.7 billion inflow in third quarter, up from CHF 3.9 billion in second quarter.

Significant financial events

There were no significant financial events in second or third quarter 2002 or in first and third quarter 2003, but there was one significant financial event in second quarter 2003 and one in first quarter 2002.
 
We realized a net gain of CHF 2 million (pre-tax CHF 161 million) in second quarter 2003 from the sale of Wealth Management USA’s Correspondent Services Corporation (CSC) business. A substantial portion of CSC’s net assets comprised goodwill stemming from the PaineWebber acquisition. After deducting taxes of CHF 159 million (based on the purchase price) and the writedown of the goodwill associated with CSC, the net gain from the transaction was CHF 2 million.
 
In first quarter 2002, we realized a net gain of CHF 125 million (pre-tax CHF 155 million) from the sale of private bank Hyposwiss.

     Details of significant financial events are shown in the table on page 8.

UBS results

Operating income

In third quarter 2003, total operating income was CHF 8,490 million, up 6% from CHF 8,000 million in the same period a year ago. The increase was mainly due to higher fixed income trading revenues, as well as recovering fee and commission income, the latter reflecting the effect of the equity market recovery on our client asset base and higher client activity levels in our wealth and asset management businesses. Our result was also helped by the substantial decline in private equity writedowns. These positive developments, however, were partially offset by the decline of major currencies against the Swiss franc, led by the US dollar’s 9% drop and lower gains on financial investments.
     Net interest income rose to CHF 3,357 million in third quarter, up from CHF 2,726 million in the same period a year earlier. Net trading income fell to CHF 642 million this quarter from CHF 1,027 million in third quarter 2002.
     As well as income from interest margin based activities (loans and deposits), net interest income includes income earned as a result of trading activities (for example, coupon and dividend income). This component is volatile from period to period, depending on the composition of the trading portfolio. In order to provide a better explanation of the movements in net inter-

 

7


 

      

UBS Results
11 November 2003

 

Significant Financial Events (SFE)

For the quarter ended

                                     
        UBS                  
       
                 
CHF million   Line affected in Income Statement   30.9.03     30.9.02                  

Net profit
 
 
                               
As reported
 
 
  1,673     942                  
No significant financial events
 
 
                               

Adjusted net profit
 
 
  1,673     942                  

Amortization of goodwill and other intangible assets
 
 
  238     305                  

Adjusted net profit before goodwill
 
 
  1,911     1,247                  

                        Wealth          
Year to date                       Management     Corporate  
        UBS     USA     Center  
 
 
 
 
   
   
 
CHF million
 
Line affected in Income Statement
  30.9.03     30.9.02       30.9.03       30.9.02  

Operating income
 
 
                               
As reported
 
 
  25,374     26,597       3,900       2,085  
Less: Gain on disposal of Correspondent Services Corporation
 
Other income
  161             161          
Less: Gain on disposal of Hyposwiss
 
Other income
            155               155  

Adjusted operating income
 
 
  25,213     26,442       3,739       1,930  

Operating expenses
 
 
                               
As reported
 
 
  19,318     21,801       3,895       1,778  
No significant financial events
 
 
                               

Adjusted operating expenses
 
 
  19,318     21,801       3,895       1,778  

Operating profit
 
 
                               
Operating profit before tax and minority interests
 
 
  6,056     4,796       5       307  
SFE adjustments, net
 
 
    (161 )     (155 )     (161 )     (155 )

Adjusted operating profit before tax and minority interests
 
 
  5,895     4,641       (156 )     152  

Net profit
 
 
                               
As reported
 
 
  4,526     3,636                  
SFE adjustments, net
 
 
  (161 )     (155 )                
Tax effect of significant financial events, net
 
Tax expense
  159     30                  

Adjusted net profit
 
 
  4,524     3,511                  

Amortization of goodwill and other intangible assets
 
 
  718     943                  

Adjusted net profit before goodwill
 
 
  5,242     4,454                  

      

est income and net trading income, we analyze the total according to the business activities that give rise to the income, rather than by the type of income generated.

     At CHF 1,267 million, net income from interest margin products in third quarter 2003 was 2% higher than the CHF 1,238 million recorded in the same quarter a year ago. The slight increase reflects higher volumes of savings accounts and mortgages as well as higher revenues from our Investment Bank’s lending busi-

ness, the latter reflecting higher interest margins. These factors were mostly offset by lower interest margins on cash and savings accounts, declining revenues from our reduced recovery portfolio as well as falling interest revenues in Swiss franc terms from US dollar cash accounts.

     Net income from trading activities increased 8% to CHF 2,745 million in third quarter 2003 from CHF 2,542 million in the same quarter a year earlier. Equity trading income dropped by 8% from CHF 807 million in third quarter 2002

 

8


 

      

Net Interest and Trading Income

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Net interest income
  3,357     3,026       2,726       11       23       9,292       7,849  
Net trading income
  642     1,333       1,027       (52 )     (37 )     3,236       4,906  

Total net interest and trading income
  3,999     4,359       3,753       (8 )     7       12,528       12,755  

Breakdown by business activity

                                                           
      Quarter ended     % change from     Year to date  
     
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Net income from interest margin products
  1,267     1,292       1,238       (2 )     2       3,844       3,979  

 
Equities
  743     700       807       6       (8 )     1,758       2,272  
 
Fixed income
  1,568     1,794       1,389       (13 )     13       5,362       4,991  
 
Foreign exchange
  351     419       287       (16 )     22       1,140       1,172  
 
Other
  83     85       59       (2 )     41       244       199  

Net income from trading activities
  2,745     2,998       2,542       (8 )     8       8,504       8,634  

Net income from treasury activities
  334     354       328       (6 )     2       1,072       1,232  

Other1
  (347 )     (285 )     (355 )     (22 )     2       (892 )     (1,090 )

Total net interest and trading income
  3,999     4,359       3,753       (8 )     7       12,528       12,755  

1 Principally external funding costs of the Paine Webber Group, Inc. acquisition.

 

      

to CHF 743 million this quarter. The drop was due to the weakening of the US dollar against the Swiss franc. Excluding currency effects, equity trading income was actually stronger this quarter than a year earlier, reflecting improving market conditions and an increase in client activity levels. Fixed income trading income increased 13% to CHF 1,568 million in third quarter from CHF 1,389 million a year earlier. Revenues remained very strong, and particularly good results were reported by our Mortgage, Government Bonds, Investment Grade and High Yield trading businesses. Revenues, however, did not match the exceptionally strong results achieved in the buoyant markets of second quarter 2003 due to market-driven declines in Fixed Income and Principal Finance. Results were also pushed down by the continued narrowing of credit spreads, which led to negative revenues of CHF 192 million relating to Credit Default Swaps (CDSs) hedging existing credit exposure in the loan book. In the same quarter a year ago, we recorded a mark to market gain of CHF 321 million from these positions. At CHF 351 million in third quarter 2003, foreign exchange revenues increased by 22% from CHF 287 million a year earlier, reflecting the continued

strong growth of our business, especially in online transactions.

     Net income from treasury activities increased 2% to CHF 334 million in third quarter 2003 from CHF 328 million in the same period a year earlier. The increase was driven by higher hedging revenues, offset by lower income from invested equity due to a lower capital base reflecting our ongoing share buybacks.
     In third quarter 2003, other net trading and interest income showed negative revenues of CHF 347 million compared to negative CHF 355 million in the same quarter last year. The improvement was due to lower goodwill funding costs relating to ongoing amortization, the write-down of the value of the PaineWebber brand, and lower funding needs for our private equity portfolio.
     Net fee and commission income rose to CHF 4,386 million this quarter from CHF 4,299 million a year earlier. The increase was mainly due to higher corporate finance, portfolio and management, advisory and investment fund fees. These increases were partially offset by the strengthening of the Swiss franc against major currencies. Underwriting fees dropped by 7% to CHF 492 million in third quarter 2003 from

 

9


 

      

UBS Results
11 November 2003

 

 

      

 

      

CHF 528 million in the same period a year earlier. The drop was mostly due to the weakening of the US dollar and other major currencies against the Swiss franc. Equity underwriting revenues dropped by 13%, whereas fixed income underwriting revenues increased slightly by 1%. Corporate finance fees rose 13% to CHF 188 million in third quarter from CHF 167 million a year earlier. This reflects a slightly better environment for corporate finance activities, with the overall fee pool growing by 5% from the same quarter a year ago. It was also due to an increase in our US revenues. Net brokerage fees dropped 2% to CHF 1,075 million in third quarter 2003 from CHF 1,098 million in the same quarter a year ago. The drop was mainly related to currency fluctuations as well as due to the absence of revenues from our CSC business, which we sold last quarter. Excluding the impact of the Swiss franc’s strengthening, net brokerage fees would have increased by 2%, reflecting improving client activity levels. Investment fund fees increased 8% to CHF 1,031 million in third quarter, from CHF 951 million in the same quarter in 2002, mainly reflecting higher asset-based fees. At CHF 1,022 million in third quarter 2003, portfolio and other

management and advisory fees were up by 9% from third quarter 2002. This increase was mainly due to higher performance and portfolio fees, which mirrored higher equity market levels.

     Other income increased to CHF 79 million this quarter from CHF 43 million in third quarter 2002. The increase was mainly due to a CHF 361 million decline in impairments on private equity and other financial investments. This was partially offset by the absence of revenues due to the deconsolidation of Klinik Hirslanden (sold in fourth quarter 2002), as well as lower gains related to disposals of financial investments as third quarter 2002 included a gain from the sale of our participation in Clearstream, and lower income from private equity divestments.

Operating expenses

We continue to manage our cost base tightly. Stringent cost control measures remain in place and we continue to streamline processes and structures across the firm. Total operating expenses were at their second lowest since PaineWebber became part of UBS. In third quarter 2003, they fell 6% to CHF 6,353 million from CHF 6,788 million in the same period a

 

Allowances and provisions for credit risk

                         
    Wealth Management &          
    Business Banking          
CHF million  
         
As at   30.9.03     30.6.03          

Loans to banks (gross)
  4,233     4,146          
Loans to customers (gross)
  170,621     171,109          

Gross loans
  174,854     175,255          

Non-performing loans
  4,178     4,518          
Other impaired loans
  2,393     2,636          

Total impaired loans
  6,571     7,154          

Allowances for non-performing loans
  2,398     2,705          
Allowances for other impaired loans
  484     487          

Total allowances for impaired loans
  2,882     3,192          

Other allowances and provisions
  348     396          

Total allowances and provisions
  3,230     3,588          

of which country allowances and provisions
  515     499          

 
                       
Ratios
                       
Impaired loans as a % of gross loans
  3.8     4.1          

Non-performing loans as a % of gross loans
  2.4     2.6          

Allowances and provisions for credit loss as a % of gross loans
  1.8     2.0          

Allocated allowances as a % of impaired loans
  43.9     44.6          

Allocated allowances as a % of non-performing loans
  57.4     59.9          

 

10


 

      

year earlier. Almost all categories of costs dropped. General and administrative expenses dropped sharply by 17% to their second lowest level since 1999. Amortization expenses, down 22%, also decreased considerably and were at their lowest level since PaineWebber became a part of UBS. Overall, the decline in expenses was helped by the weakening of major currencies against the Swiss franc and last year’s sale of Klinik Hirslanden. From a business perspective, the Business Banking Switzerland and Wealth Management USA businesses have led the way in cutting costs.

     At CHF 4,372 million, personnel expenses dropped 1% from CHF 4,411 million in third quarter 2002. Salary expenses fell because of the 5% reduction in headcount over the period. That decline was nearly offset by higher accruals for performance-related compensation, which increased in line with higher revenues. It should be noted that our personnel expenses are managed on a full-year basis with final fixing of annual performance-related payments in fourth quarter.
     In third quarter 2003, general and administrative expenses were at CHF 1,422 million,

17% lower than the CHF 1,720 million in third quarter 2002, reflecting our continued cost cutting initiatives as well as the weakening of major currencies against the Swiss franc. Declines were registered in all categories of costs except rent, maintenance and professional fees. Significant drops were registered in provisions, occupancy and in IT, outsourcing, telecommunication and administration costs.

     Depreciation, at CHF 321 million, dropped by 9% from CHF 352 million in third quarter 2002, reflecting lower charges for IT and non-IT equipment.
     At CHF 238 million in third quarter 2003, amortization of goodwill and other intangible assets dropped 22% from CHF 305 million, mainly due to lower amortization charges for intangible assets after writing down the PaineWebber brand in fourth quarter 2002. The drop was further reinforced by the decline of the US dollar against the Swiss franc.

Tax

In third quarter, UBS incurred a tax expense of CHF 383 million, reflecting an effective tax rate of 17.9% for the quarter and 21.2% for the first

 

                                                                                 
    Global                     Wealth Management              
    Asset Management     Investment Bank     USA     Corporate Center     UBS  
   
   
   
   
   
 
    30.9.03     30.6.03     30.9.03     30.6.03     30.9.03     30.6.03     30.9.03     30.6.03     30.9.03     30.6.03  

 
  233     196     30,702     35,463     1,307     1,086     2,733     3,164     39,208     44,055  
 
  26     19     35,725     31,258     12,348     11,847     1,973     1,985     220,693     216,218  

 
  259     215     66,427     66,721     13,655     12,933     4,706     5,149     259,901     260,273  

 
  0     0     791     886     28     28     1     1     4,998     5,433  
 
  0     0     614     805     0     0     3     4     3,010     3,445  

 
  0     0     1,405     1,691     28     28     4     5     8,008     8,878  

 
  0     0     627     730     28     28     1     1     3,054     3,464  
 
  0     0     397     431     0     0     3     5     884     923  

 
  0     0     1,024     1,161     28     28     4     6     3,938     4,387  

 
  0     0     300     306     3     4     0     0     651     706  

 
  0     0     1,324     1,467     31     32     4     6     4,589     5,093  

 
  0     0     257     256     0     0     0     0     772     755  

 
                                                                               
 
                  2.1     2.5     0.2     0.2     0.1     0.1     3.1     3.4  

 
                  1.2     1.3     0.2     0.2     0.0     0.0     1.9     2.1  

 
                  2.0     2.2     0.2     0.2     0.1     0.1     1.8     2.0  

 
                  72.9     68.7     100.0     100.0     100.0     120.0     49.2     49.4  

 
                  79.3     82.4     100.0     100.0     100.0     100.0     61.1     63.8  

11


 

      

UBS Results
11 November 2003

 

 

Actual credit loss (expense)/recovery

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Wealth Management & Business Banking
  29     68       (57 )     (57 )             33       (178 )
Investment Bank
  (5 )     (41 )     (30 )     88       83       (86 )     (37 )
Wealth Management USA
  0     (3 )     (10 )     100       100       (3 )     (14 )
Corporate Center
  2     0       2               0       2       12  

UBS
  26     24       (95 )     8               (54 )     (217 )

 

      

nine months of the year. Excluding the effect of the sale of CSC, our effective tax rate for the year to date is 19.1% compared to 2002’s full-year rate of 16.5% (before significant financial events). The particularly low 2002 rate was driven by lower progressive tax rates in Switzerland, the ability to benefit from tax losses in the US and UK and a high proportion of earnings generated in lower tax jurisdictions. The low third quarter tax rate was due to a shift in the regional profit mix, as well as the impact of the enactment of new tax legislation in Zurich on deferred tax liabilities. We believe that an underlying tax rate of around 19% (before significant financial events) is a reasonable indicator for full-year 2003.

Credit risk

Our credit exposures continued to perform well as the global economy showed signs of a slow recovery. In third quarter 2003, we realized an aggregate net writeback of loan loss provisions of CHF 26 million, almost unchanged from the CHF 24 million experienced in second quarter. In third quarter 2002, we reported a net credit loss expense of CHF 95 million.

     Wealth Management & Business Banking contributed to this strong result with a net write-back of CHF 29 million compared to a net write-back of CHF 68 million in second quarter 2003 and a net credit loss expense of CHF 57 million in third quarter 2002. This positive development was largely due to the continuing low level of new impairments and recoveries of provisions established in earlier periods.
     The Investment Bank experienced a net credit loss of CHF 5 million. Given the size of our aggregate international credit exposures, this is a very strong result and a testimony to our ability to actively manage and control credit risks. In second quarter 2003, the Investment Bank

reported a net credit loss of CHF 41 million and in the third quarter 2002 CHF 30 million. The few new impairments recorded during the quarter were to a large extent offset by recoveries as the strong market for distressed credits allowed the disposal of positions at better than anticipated rates.

     The UBS loan portfolio amounted to CHF 259.9 billion on 30 September 2003, virtually unchanged from CHF 260.3 billion on 30 June 2003.
     In the Investment Bank, gross loan exposure did not materially change but we experienced a reallocation from interbank exposure to loans to customers. Wealth Management & Business Banking was again able to grow its home mortgage lending activity. The growth experienced in this activity, however, was offset by lower demand from the corporate sector. Wealth Management USA’s loan portfolio was CHF 13.7 billion on 30 September 2003, an increase of CHF 722 million or 5.6% from 30 June 2003, reflecting increased client demand for liability products.
     Total impaired loans declined to CHF 8,008 million on 30 September 2003 from CHF 8,878 million on 30 June. As a result, the impaired loans to total loans ratio again improved, falling to 3.1% in third quarter from 3.4% in the previous quarter.

Market risk

Market risk is incurred primarily through UBS’s trading activities, which are centered in the Investment Bank Business Group.

     Market risk for the Investment Bank, as measured by the average 10-day 99% confidence level Value at Risk (VaR) for the quarter, increased from CHF 345.1 million to CHF 364.4 million, but remained within a similar range to the previous two quarters. The general increase in VaR

 

12


 

UBS: Value at Risk (10-day 99% confidence)

                                                                         
            Quarter ended 30.9.03     Quarter ended 30.6.03  
           
   
 
CHF million   Limits     Min.     Max.     Average     30.9.03     Min.     Max.     Average     30.6.03  

Business Groups
                                                                       
Investment Bank
    450     317.9   420.2   364.4   351.3     303.3       410.9       345.1       383.8  
Wealth Management USA
    50     8.4   18.8   12.6   11.7     9.4       18.7       12.1       11.3  
Global Asset Management1
    30     9.2   13.7   11.4   11.1     7.0       14.6       10.7       10.4  
Wealth Management & Business Banking2
    30     0.7   1.2   0.9   0.9     3.0       3.9       3.4       3.5  
Corporate Center2, 3
    150     39.7   62.7   48.5   44.9     48.3       76.5       62.3       56.4  
Reserve
    170                                                                  
Diversification effect
          4   4   (71.3 )   (65.9 )       4       4     (77.0 )     (75.1 )

Total
    600     313.9   412.6   366.5   354.0     315.2       421.8       356.6       390.3  

1 Only covers UBS interest in UBS O’Connor funds.    2 VaR for Private Banks, which includes banking book interest rate exposure, is included in Wealth Management & Business Banking up to 30 June 2003 and in Corporate Center from 1 July 2003.    3 Includes interest rate exposures in the banking book of Group Treasury.    4 As the minimum and maximum occur on different days for different Business Groups, it is not meaningful to calculate a portfolio diversification effect.

Investment Banking & Securities: Value at Risk (10-day 99% confidence)

                                                                         
            Quarter ended 30.9.03     Quarter ended 30.6.03  
           
   
 
CHF million           Min.     Max.     Average     30.9.03     Min.     Max.     Average     30.6.03  

Risk type
                                                                       
Equities
          169.1   194.3   182.8   179.5     160.5       188.9       173.8       182.8  
Interest rates
          280.8   400.7   325.4   332.8     260.9       345.1       305.0       331.7  
Foreign exchange
          26.2   81.5   47.2   38.5     19.5       67.4       38.0       56.4  
Other1
          9.4   23.0   13.4   14.3     9.5       20.4       15.0       14.4  
Diversification effect
          2   2   (204.4 )   (213.8 )     2       2       (186.7 )     (201.5 )

Total
          317.9   420.2   364.4   351.3     303.3       410.9       345.1       383.8  

1 Includes energy and precious metals risk.    2 As the minimum and maximum occur on different days for different risk types, it is not meaningful to calculate a portfolio diversification effect.

      

in 2003, compared with levels in 2002, reflects the growth of our fixed income business, particularly in the US, which has brought increased trading opportunities and a commensurate increase in risk exposure. Equity markets have continued the steady recovery that began in the second quarter 2003, which, along with UBS’s involvement in a number of large transactions, resulted in generally higher VaR for equities risk than in the previous quarter. Higher VaR does not signal any fundamental change in our approach to risk — where opportunities arise we are prepared to take risks and manage them prudently within defined parameters.

The quality of the VaR model is continuously monitored by backtesting — comparing actual revenues arising from closing positions (i.e. excluding intraday revenues, fees and commissions) with the 1-day VaR calculated on these positions. The graph on the right shows these daily revenues and the corresponding 1-day VaR over the last 12 months. The 10-day VaR, which is the basis of the limits and exposures in the

tables above, is also shown in this graph for information. Revenues over this period were within the range predicted by the VaR model.

(BACKTESTING REVENUE)

 

13


 

      

UBS Results
11 November 2003

 

 

BIS Capital and Ratios

                                         
                            % change from  
CHF million, except where indicated                    
 
As at   30.9.03     30.6.03     31.12.02     30.6.03     31.12.02  

Risk-weighted assets
  241,533     243,032       238,790       (1 )     1  

BIS Tier 1 capital
  27,728     29,145       27,047       (5 )     3  
of which hybrid Tier 1 capital1
  3,426     3,517       3,182       (3 )     8  
BIS total capital
  32,124     33,949       33,009       (5 )     (3 )

BIS Tier 1 capital ratio (%)
  11.5     12.0       11.3                  
of which hybrid Tier 1 capital (%)1
  1.4     1.4       1.3                  
BIS total capital ratio (%)
  13.3     14.0       13.8                  

1 Trust preferred securities.

 

      

     UBS also routinely assesses potential stress loss against a standard set of forward-looking scenarios. Stress events modeled in our standard scenarios include crises in equity, corporate bond and emerging markets, and severe currency and interest rate movements. These scenarios are kept under constant review and fine-tuned as necessary. We also monitor our positions against more specific scenarios that target individual sectors or are based on current concerns. Stress loss exposure in the quarter followed a similar pattern to VaR – slightly higher than the previous quarter on average but ending the quarter lower than at the end of the previous quarter, and well within limits.

Capital management

We remain committed to being one of the best-capitalized financial services firms in the world and will therefore continue to manage our balance sheet prudently. This clear focus and our ongoing strong cash flow generation means that we have been able to keep our BIS Tier 1 ratio

high while continuing our share buyback programs.

     Risk-weighted assets decreased 1% from CHF 243.0 billion on 30 June 2003 to CHF 241.5 billion on 30 September 2003. Decreases in regulatory capital requirements from our loan portfolio and for market risk were partially offset by higher requirements for lending commitments. BIS Tier 1 capital decreased from CHF 29.1 billion in the second quarter 2003 to CHF 27.7 billion this quarter, reflecting the ongoing share buyback program, offsetting the effect of higher retained earnings. This resulted in a decrease of UBS’s Tier 1 ratio to 11.5% at the end of September 2003 compared to 12.0% on 30 June 2003.

Buyback program

In light of our strong capitalization, we continue to buy back shares for cancellation. In third quarter, we purchased 31,670,000 shares under our 2003 buyback program, bringing the total purchased under the 2003 program to 42,940,000 shares. The shares were purchased at an average

 

      

UBS Shares and Market Capitalization

                                           
                              % change from  
Number of shares, except where indicated  
 
As at   30.9.03     30.6.03     30.9.02     30.6.03     30.9.02  

Total ordinary shares issued
  1,182,486,491     1,258,031,067       1,254,852,158       (6 )     (6 )
Second trading line treasury shares
                                       
 
2002 first program
            (67,700,000 )     (62,811,279 )                
 
2002 second program
            (8,270,080 )                        
 
2003 program
  (42,940,000 )     (11,270,000 )                        

Shares outstanding for market capitalization
  1,139,546,491     1,170,790,987       1,192,040,879       (3 )     (4 )

Share price (CHF)
  74.10     75.35       61.30       (2 )     21  

Market capitalization (CHF million)
  84,440     88,219       73,072       (4 )     16  

Total treasury shares
  98,068,507     139,778,748       68,752,679       (30 )     43  

 

14


 

      

(MARKET CAPITALIZATION BAR CHART)

price of CHF 73.94 for a total value of CHF 3.2 billion. The program will run until 6 March 2004 and allows us to buy a maximum value of CHF 5 billion in UBS shares. These shares will be canceled following approval at next year’s Annual General Meeting.

Treasury shares

IFRS requires a company that holds its own shares for trading or non-trading purposes to record those shares as treasury shares and deduct them from shareholders’ equity.
     Our holding of own shares decreased from 139,778,748 shares, or 11.1% of shares issued, on 30 June 2003, to 98,068,507 shares, or 8.3% of shares issued, on 30 September 2003, reflecting the cancelation of 75,970,080 shares in July purchased under our two 2002 repurchase programs. This was partially offset by the additional shares we bought under our current buyback program and shares we bought back for our employee programs.

     Of the currently held treasury shares, 42,940,000 were bought for cancelation whereas the other 55,128,507 shares cover employee share and option programs, and to a limited extent market-making activities in the Investment Bank. The Investment Bank acts as a market-maker in UBS shares as well as in derivatives related to those shares and may hold UBS shares as a hedge for derivatives issued to retail and institutional investors. Changes in the trading approach can lead to fluctuations in the size of our direct holding of UBS shares.

Fitch lowers UBS ratings

In September, FitchRatings, an international rating agency, lowered our long-term rating to AA+ from AAA while affirming our F1+ short-term rating. The outlook on the long-term rating was changed to stable from negative. Fitch also kept our individual rating of B and a support rating of 1.
     The rating change reflected Fitch’s view that UBS’s risk profile has undergone a gradual transformation, as we combine our core strengths of wealth management and the Swiss domestic banking franchise with an expanding global investment banking operation, in particular in the US.
     While we regret this downgrade, which came despite Fitch’s very positive overall assessment of our businesses, we remain one of the best-rated financial institutions worldwide. No peer with global capital markets activities is rated higher than AA+ by Fitch.

 

15


 

      

Wealth Management & Business Banking
11 November 2003

 

 

 

Wealth Management & Business Banking

 

(GEORGES GAGNEBIN PHOTO)

Georges Gagnebin

Chairman, Wealth Management & Business Banking

(MARCEL ROHNER PHOTO)

Marcel Rohner

CEO, Wealth Management & Business Banking

In third quarter 2003, Wealth Management’s pre-tax profit was CHF 714 million, up 9% from second quarter 2003. Net new money, at a record high of CHF 9.4 billion, included further strong inflows into our European wealth management business and in Asia. Business Banking Switzerland’s pre-tax profit was CHF 528 million in third quarter 2003, 9% below the second quarter result, which benefited from divestment gains.


Business Group Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   3,042     3,108       3,039       (2 )     0       9,016       9,327  
Credit loss expense1   (26 )     (43 )     (74 )     (40 )     (65 )     (126 )     (248 )

Total operating income   3,016     3,065       2,965       (2 )     2       8,890       9,079  

Personnel expenses   1,145     1,175       1,167       (3 )     (2 )     3,466       3,448  
General and administrative expenses   529     527       598       0       (12 )     1,573       1,704  
Depreciation   80     109       101       (27 )     (21 )     283       330  
Amortization of goodwill and other intangible assets   20     19       21       5       (5 )     58       71  

Total operating expenses   1,774     1,830       1,887       (3 )     (6 )     5,380       5,553  

Business Group performance before tax   1,242     1,235       1,078       1       15       3,510       3,526  

Business Group performance before tax and amortization of goodwill and other intangible assets   1,262     1,254       1,099       1       15       3,568       3,597  
                                                         
Additional information                                                        
Regulatory equity allocated (average)   8,950     8,800       8,600       2       4                  
Cost/income ratio (%)2   58     59       62                       60       60  
Cost/income ratio before goodwill (%)3   58     58       61                       59       59  

1 In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements).    2 Operating expenses/income.    3 Operating expenses less the amortization of goodwill and other intangible assets/income.

 

16


 

Wealth Management

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      
   


 
     
 
     
 
1   In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements).
 
2   Excludes interest and dividend income.
 
3   Annualized income/average invested assets.
 
4   Operating expenses/income.
 
5   Operating expenses less the amortization of goodwill and other intangible assets/income.
 
6   Operating expenses less the amortization of goodwill and other intangible assets and expenses for the European wealth management initiative/income less income for the European wealth management initiative.

Business Unit Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   1,751     1,732       1,614       1       8       5,058       5,114  
Credit loss expense1   (1 )     (2 )     (3 )     (50 )     (67 )     (5 )     (16 )

Total operating income   1,750     1,730       1,611       1       9       5,053       5,098  

Personnel expenses   495     496       477       0       4       1,465       1,404  
General and administrative expenses   504     536       501       (6 )     1       1,565       1,547  
Depreciation   17     23       21       (26 )     (19 )     61       63  
Amortization of goodwill and other intangible assets   20     19       21       5       (5 )     58       71  

Total operating expenses   1,036     1,074       1,020       (4 )     2       3,149       3,085  

Business unit performance before tax   714     656       591       9       21       1,904       2,013  

Business unit performance before tax and amortization of goodwill and other intangible assets   734     675       612       9       20       1,962       2,084  
                                                         
KPI’s                                                        
Invested assets (CHF billion)   693     691       655       0       6                  
Net new money (CHF billion) 2   9.4     6.5       9.3                       23.3       14.9  

Gross margin on invested assets
(bps) 3
  101     104       97       (3 )     4       101       98  

Cost/income ratio (%)4   59     62       63                       62       60  
Cost/income ratio before goodwill (%)5   58     61       62                       61       59  
Cost/income ratio before goodwill and excluding the European wealth management initiative (%)6   50     53       54                       53       52  

Client advisors (full-time equivalents)   3,174     3,121       2,973       2       7                  

                                                         
International Clients                                                        
Income   1,215     1,226       1,125       (1 )     8       3,529       3,550  

Invested assets (CHF billion)   485     485       456       0       6                  
Net new money (CHF billion) 2   9.0     6.6       9.8                       22.6       17.8  

Gross margin on invested assets
(bps) 3
  100     105       98       (5 )     2       101       99  

                                                         
European wealth management initiative (part of International Clients)
Income   74     61       47       21       57       187       139  

Invested assets (CHF billion)   44     39       27       13       63                  
Net new money (CHF billion) 2   2.8     3.3       2.5                       9.1       5.6  

Client advisors (full-time equivalents)   658     582       547       13       20                  

                                                         
Swiss Clients                                                        
Income   536     506       489       6       10       1,529       1,564  

Invested assets (CHF billion)   208     206       199       1       5                  
Net new money (CHF billion) 2   0.4     (0.1 )     (0.5 )                     0.7       (2.9 )

Gross margin on invested assets
(bps) 3
  104     102       94       2       11       102       94  

                            % change from
               
Additional information                          
               
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Client assets (CHF billion)   849     845       797       0       7                  
Regulatory equity allocated (average)   2,750     2,600       2,800       6       (2 )                
Headcount (full-time equivalents)   9,258     9,228       9,364       0       (1 )                

 

17


 

      

Wealth Management & Business Banking
11 November 2003

 

 

 

 

      

Key performance indicators

Net new money in third quarter 2003 was CHF 9.4 billion, the highest quarterly inflow ever recorded, and up from CHF 6.5 billion in the previous quarter. The International Clients business reported CHF 9.0 billion in net new money, helped by a positive inflow of CHF 2.8 billion into our European wealth management business as well as a strong performance in Asia. Net new money in our Swiss Clients business was CHF 0.4 billion.

(NET NEW MONEY)

     Invested assets on 30 September 2003 were CHF 693 billion, up from CHF 691 billion on 30 June 2003. The strong inflow of new money, the first-time consolidation of CHF 1.6 billion in assets from the acquisition of Lloyds TSB’s French wealth management business, and slightly improving markets all contributed to the gain. The positive influence of these three factors, however, was mostly offset by the declines of the US dollar and euro against the Swiss franc.

(INVESTED ASSETS)

     Gross margin on invested assets was 101 basis points in third quarter 2003, down by three basis points from the second quarter, which had benefited from the sale of our Deutsche Börse participation. Excluding the divestment gain, the gross margin would have been up by one basis point from second quarter, reflecting increased client activity levels.

(GROSS MARGIN ON INVESTED ASSETS)

     The pre-goodwill cost / income ratio, at 58% in third quarter 2003, improved three percentage points from second quarter 2003. Despite the disposal gain in second quarter, operating income rose on higher fee income, reflecting an increased average asset base and gains in transaction-based income. Operating expenses fell in third quarter as a result of stringent cost control measures. Excluding the European wealth management business, the pre-goodwill cost / income ratio was 50% in the third quarter 2003, down 3 percentage points from second quarter.

(COST-INCOME RATIO)

European wealth management

Although below the record previous quarter, our European wealth management business con-

 

18


 

      

tinued to report very strong inflows of net new money. The inflow this quarter totaled CHF 2.8 billion, with a particularly good performance once again in Germany and the UK. For the first nine months of 2003, net new money inflows were CHF 9.1 billion, corresponding to an annualized growth rate of 43%.

(NET NEW MONEY BAR CHART)

     The level of invested assets rose to a new high of CHF 44 billion at the end of September 2003, up from CHF 39 billion at the end of June, as a result of the strong inflow of net new money and the first time inclusion of CHF 1.6 billion in assets from the acquisition of Lloyds TSB’s French business.

(INVESTED ASSETS BAR CHART)

     Income in third quarter 2003 was CHF 74 million, up from CHF 61 million in second quarter 2003, reflecting higher revenues from our expanded asset base and higher transaction activity levels from clients.

     The number of client advisors rose to 658 at the end of September 2003, up by 76 from 582 at the end of June 2003, reflecting our continued investments in qualified advisory staff in the business’s five key markets. The increase also

includes 29 client advisors previously employed by Lloyds TSB’s French business.

Purchase of Merrill Lynch’s German private client business

Our German subsidiary, UBS Wealth Management AG, signed an agreement in late October to acquire the private client business of Merrill Lynch in that country for an undisclosed sum. The move will enhance our profile in the German market for wealthy individuals and will strengthen our local client base.
     The transaction, following the purchase of Lloyds TSB’s French business earlier this year, is another step in our systematic effort to expand our business in core European markets.
     The German private client business of Merrill Lynch serves wealthy private clients, specializing in the high net worth and ultra high net worth segments. It managed client assets of USD 1.4 billion on 30 June 2003 and has 52 staff working at its two German offices in Frankfurt and Munich. We will integrate the business into our German subsidiary by February 2004.

Initiatives and achievements

Launch of new product lines

We extended our existing trust and foundation offering by launching the Family Trust and Family Foundation products in third quarter. They are specially designed to help our clients manage their assets for the benefit of their families, children and grandchildren.
     We also launched a comprehensive mortgage offering for our wealth management clients in Germany together with BHW Bausparkasse AG.
     UBS’s role in the partnership is to advise clients and sell them mortgages and related products. In turn, BHW grants and administers the actual mortgages, and assumes the credit risk. The client relationship remains with UBS.
     In early October, a similar partnership was launched with Banca Woolwich S.p.A. in Italy. Other mortgage ventures with local partners are planned in France and Spain.
     Overall, the moves to expand our product offering to include mortgages for affluent clients are being made to provide a “one-stop shopping” source for all their financing needs, helping us to deepen and extend our relationships.

 

19


 

      

Wealth Management & Business Banking
11 November 2003

 

      

Results

In third quarter 2003, Wealth Management’s pre-tax profit was CHF 714 million, up CHF 58 million or 9% from second quarter 2003. Despite the disposal gains in second quarter 2003, operating income increased on rising fee-based revenues as a result of a higher average asset base and increased client activity levels. Operating expenses fell because of declining IT and marketing costs, and depreciation. These factors led to an improvement in the cost/income ratio, which fell to 59% this quarter from 62% in second quarter.

(PERFORMANCE BEFORE TAX BAR CHART)

Operating income

Total operating income, at CHF 1,750 million in third quarter 2003, was up by CHF 20 million from second quarter 2003. Recurring income rose because of higher asset-based revenues, reflecting the increase in the average asset base. Non-recurring income fell in third quarter, mainly because the second quarter result benefited from the Deutsche Börse participation divestment. Excluding the disposal gain, non-recurring income was up, reflecting higher levels of client transaction activity as sentiment improved.

Operating expenses

Total operating expenses were CHF 1,036 million, down 4% from the previous quarter, as costs remained tightly managed despite continued investment in our European wealth management business. Personnel expenses were at CHF

495 million in third quarter, virtually unchanged from the previous quarter. General and administrative expenses fell by 6% or CHF 32 million to CHF 504 million. This was mainly due to lower charges for services rendered by other parts of the firm, especially related to IT projects and marketing. Depreciation fell to a record low of CHF 17 million in third quarter 2003, reflecting lower charges for IT equipment.

Headcount

Headcount, at 9,258 on 30 September 2003, increased by 30 from 30 June 2003, reflecting our continued hiring of client advisors as well as the inclusion of Lloyds TSB French staff. This was partially offset by a reduction in headcount in supporting functions due to ongoing streamlining of processes and structures.

(HEADCOUNT BAR CHART)

Outlook

The Wealth Management business achieved a good result in third quarter 2003, benefiting from a higher average asset base as well as a rebound in investor activity. The strong net new money result that we have achieved in the last few quarters is clear evidence of the trust our clients place in our services, capabilities and expertise.

     We will continue to invest in growth opportunities while tightly managing costs. Furthermore, we remain confident that the wealth management market holds significant long-term potential and that our asset-gathering performance and strong market position provide a good foundation for future growth.

 

20


 

Business Banking Switzerland

      

Business Unit Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   1,291     1,376       1,425       (6 )     (9 )     3,958       4,213  
Credit loss expense1     (25 )     (41 )     (71 )     (39 )     (65 )     (121 )     (232 )

Total operating income   1,266     1,335       1,354       (5 )     (6 )     3,837       3,981  

Personnel expenses   650     679       690       (4 )     (6 )     2,001       2,044  
General and administrative expenses   25     (9 )     97               (74 )     8       157  
Depreciation   63     86       80       (27 )     (21 )     222       267  
Amortization of goodwill and other intangible assets   0     0       0                       0       0  

Total operating expenses   738     756       867       (2 )     (15 )     2,231       2,468  

Business unit performance before tax   528     579       487       (9 )     8       1,606       1,513  

Business unit performance before tax and amortization of goodwill and other intangible assets   528     579       487       (9 )     8       1,606       1,513  
                                                         
KPI’s                                                        
Invested assets (CHF billion)   208     209       202       0       3                  
Net new money (CHF billion)2   (2.4 )     0.3       4.3                       (4.0 )     6.4  

Cost/income ratio (%)3   57     55       61                       56       59  
Cost/income ratio before goodwill (%)4   57     55       61                       56       59  

Non-performing loans/gross loans (%)   3.0     3.2       4.0                                  
Impaired loans/gross loans (%)   4.7     5.0       6.5                                  

                                                         
                            % change from     Year to date  
Additional information                          
   
 
As at or for the period ended   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Deferred releases included in credit loss expense1
  104     88       61       18       70       269       170  
Client assets (CHF billion)
  573     545       504       5       14                  
Regulatory equity allocated (average)
  6,200     6,200       5,800       0       7                  
Headcount (full-time equivalents)
  17,910     18,018       18,942       (1 )     (5 )                

1 In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements). Deferred releases represent amortization of historical differences between actual credit losses and actuarial expected loss (for more information, please refer to pages 39–40 of the UBS Financial Report 2002).    2 Excludes interest and dividend income.    3 Operating expenses/income.    4 Operating expenses less the amortization of goodwill and other intangible assets/income.

 

      

Key performance indicators

      

 

      

Our cost/income ratio rose to 57% in third quarter 2003, up from 55% in second quarter 2003, when the ratio benefited from CHF 80 million in divestment gains. Excluding the gains, the ratio would have dropped by one percentage point, reflecting a slight rise in underlying operating income and concurrent decline in operating expenses.

Net new money was negative CHF 2.4 billion in third quarter 2003, due to a CHF 2.3 billion reduction in the corporate clients area, partly as a result of individual companies making transfers from their short-term deposits to their current accounts, which are not classified as invested assets.

 

21


 

      

Wealth Management & Business Banking
11 November 2003

 

      

(COST INCOME RATIO BAR CHART)

     Invested assets were CHF 208 billion on 30 September 2003, down marginally from CHF 209 billion on 30 June 2003, mainly due to net outflows from corporate clients. The decline was only partially compensated by positive market performance.

     At the end of third quarter 2003, Business Banking Switzerland’s loan portfolio was CHF 140.2 billion, down CHF 1.8 billion from the end of second quarter. The volume of net new mortgages was CHF 1.0 billion, another strong result, as private clients took further advantage of interest rates at historic lows. This increase was more than offset by lower demand from the corporate clients sector as well as the ongoing

workout of the recovery portfolio, which fell to CHF 6.6 billion on 30 September 2003 from CHF 7.4 billion on 30 June 2003. The non-performing loans ratio improved to 3.0% on 30 September 2003, down from 3.2% on 30 June 2003, while the impaired loans ratio dropped to 4.7% from 5.0% in the same period.

(IMPAIRED LOANS GROSS LOANS BAR CHART)

     Business Banking Switzerland’s net interest income in third quarter 2003 fell slightly in comparison to second quarter, mainly reflecting lower interest margins on cash and savings accounts due to the low interest rate environment, as well as lower interest income from our reduced recovery portfolio. This decrease could

 


Small Caps M&A – Giving Swiss companies access to the world

Rather than tout the size and volume of their last major deal, investment bankers in the M&A Small Caps Switzerland team prefer to talk about how they use UBS’s global network to help Swiss companies that need or want to find new business partners.

     The staff of ten, who cover Switzerland from their office in Zurich, are seeing a recovery in deals this year. Although part of the gain is attributable to a return to normal levels of corporate activity, the Small Caps unit believes that it is also benefiting from a clear competitive advantage compared to the corporate finance departments of local banks and advisory boutiques. Simply put, the team can combine its extensive local knowl-
 

edge with UBS’s global M&A business, tools and expertise, giving Swiss clients an added dimension in terms of international reach. In practice, it means that when the team gets a new mandate, it can use the Investment Bank’s global network and database to systematically look for the most suitable partners inside and outside Switzerland, and take advantage of its product specialists and industry sector experts.

     With more than 30 completed deals credited to the unit since 2000, the team works closely with client advisors in Wealth Management & Business Banking, as they have extensive and frequent contact with many of the country’s business leaders. The Small Caps M&A team picks up

the cues, keeping its pipeline focused on middle-sized companies and deals that range from approximately CHF 10 million to CHF 100 million in transaction value, with anything larger generally handled by the Investment Bank.

     The Small Caps team only takes on exclusive mandates and focuses on giving M&A advice to companies that have been put up for sale or are family owned and need to set up a succession plan. An example of the latter is the sale of privately held Emil Flachsmann AG in June to Frutarom Industries Ltd, a multinational flavor and natural extract house with headquarters in Israel. The Swiss company, which manufactures high-quality plant extracts and flavors, was being

 

22


 

      

only be partly offset by higher fixed-rate mortgage volumes.

Initiatives and achievements

CLS service signs four new clients

Our Continuous Linked Settlement (CLS) service, part of the “Bank for Banks” initiative, signed up four new financial institutions as clients in third quarter, bringing the total number of our CLS clients to 33.
     Launched in autumn 2002, CLS is a real-time global settlement system for cross-border currency transactions that significantly mitigates settlement risk by completing foreign exchange transactions on a payment-versus-payment basis.

New IT platform reaches milestone

Our “Strategic Solution Program” (SSP), a large-scale IT project in Switzerland, reached an important milestone in third quarter 2003, when all client accounts were successfully transferred to the new platform. One of the results is that clients in Switzerland now receive newly designed account statements that can be tailored to suit their individual needs. The modular nature of the SSP platform lays a technical foun-

dation that will help us further increase the overall flexibility of our products while providing our clients with more transparent information and data.

     As further bank applications in Switzerland are transferred to the SSP platform, it will allow for real-time processing around the clock as well as an improvement in our financial and management reporting. The new IT architecture gives us the ability to shorten the length of time it takes to bring new product solutions to market. Also, as it will progressively replace our old IT system, SSP will help us lower operational and maintenance costs over the next few years.

Results

In third quarter 2003, Business Banking Switzerland reported pre-tax profit of CHF 528 million. Although below the second quarter figure, it was still the second highest quarterly result ever. And, if the previous quarter’s divestment gains of CHF 80 million were not taken into account, third quarter pre-tax profit would have risen by 6% from second quarter. Total operating income – excluding the divestment gain – increased by CHF 11 million, reflecting higher

 


managed by the second generation of the Flachsmann family who were looking to make a decision about the company’s future and wanted to evaluate different options and scenarios in an effort to find the best partner able to further develop the business. The family mandated the UBS Small Caps team to look for investors and potential partners around the world and to advise on the sale process. Shortly afterwards, the team came up with a number of solutions that included the possibility of selling the business to a larger company in the industry or allowing Flachsmann management itself to buy the company with the assistance of a financial investor. Seeing the different options allowed the family to

 

evenly weigh which would ensure the future of the business. The process helped to confirm the family’s belief that a sale to a strategic buyer would be ideal and the UBS team then helped the family to successfully conclude the sale to Frutarom.

     Another notable transaction this year was the sale of specialty precision bearing manufacturer Wälzlager Industriewerke Bulle AG (WIB) to Canada’s RotoPrecision Inc. WIB, owned by Japan’s NSK Ltd., one of the world’s largest bearing manufacturers, made specialty precision bearings that did not fully fit into NSK’s core business. That prompted NSK to contact UBS, more precisely the Small Caps team, who took on the task of negotiating the sale to RotoPrecision, a sensi-

tive and complicated task that involved coordinating meetings and negotiations across three different time zones. In the end, the sale, which was concluded at the end of March, not only resulted in the fulfillment of the solution NSK had believed was best for the Swiss business from the outset, but also helped establish a fruitful relationship between NSK and the Investment Bank.

     According to the team, these deals also show how effective M&A is as a cross-selling product. Not only does it generate fees, but more importantly, it also intensifies contacts with senior executives, business owners, and a diverse range of organizations interested in other products and services UBS can offer.

 

23


 

      

Wealth Management & Business Banking
11 November 2003

 

      

fee income and lower credit loss expenses. The positive development was helped by falling personnel expenses and depreciation.

(PERFORMANCE BEFORE TAX BAR CHART)

Operating income

Total operating income in third quarter 2003 was CHF 1,266 million, down 5% or CHF 69 million from second quarter 2003, when results were buoyed by CHF 80 million in divestment gains. Interest income fell as a result of lower investment interest margins for current and savings accounts. Fee income increased slightly due to the higher average asset base. Credit loss expenses, at CHF 25 million, dropped by 39% to a new all-time low reflecting the deferred benefit of the structural improvement in our loan portfolio in recent years.

Operating expenses

Operating expenses fell to CHF 738 million in third quarter 2003, down by 2% from CHF 756 million in second quarter 2003. Personnel expenses, at CHF 650 million, were at their second lowest level ever, reflecting lower costs for our early retirement program, as well as falling headcount levels.
     General and administrative expenses increased in third quarter to CHF 25 million, against a negative CHF 9 million in second quarter 2003. The rise was mainly due to higher IT project and marketing services costs. The overall very low level of general and administrative expenses are a result of UBS’s integrated business model, through which Business Banking Switzer-

land provides a significant number of services to other business units, mainly Wealth Management. In accounting terms, the costs for these services are charged to the receiving unit as general and administrative expenses, and then offset by lower general and administrative expense in the provider unit.

     Depreciation fell to CHF 63 million in third quarter 2003, down CHF 23 million from second quarter, when levels were impacted by the write-off of a software license agreement. In addition, depreciation for IT equipment fell.

Headcount

Business Banking Switzerland’s headcount was 17,910 on 30 September 2003, a decline of 108 from 30 June 2003, reflecting our continued investment in technology and automation, and the ongoing streamlining of processes and structures.

(HEADCOUNT BAR CHART)

Outlook

Business Banking Switzerland delivered another good result in third quarter, as productivity levels remained competitively high. The saturation in Switzerland’s market for financial services will continue to present a challenge that will demand the most efficient structures and processes. Due to the fact that productivity gains in this business are achievable primarily through progressive automation of processes, we expect headcount to continue to decrease at a similar rate to this year, allowing us to stay at the forefront of efficient and profitable banking.

 

24


 

      

Global Asset Management
11 November 2003

 

 

 

Global Asset Management

 

     (JOHN A FRASER PHOTO)

John A.Fraser

Chairman and CEO,
Global Asset Management

      


      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      

      
1 Operating expenses/operating income.
 
2 Operating expenses less the amortization of goodwill and other intangible assets/operating income.
 
3 Excludes interest and dividend income.
 
4 Annualized operating income/average invested assets.

Pre-tax profit in third quarter 2003 was CHF 87 million, marginally lower than the strong CHF 89 million result achieved in second quarter. Despite outflows of CHF 8.1 billion from lower margin money market funds, net new money was CHF 4.9 billion, driven by buoyant asset inflows into alternative and quantitative investments as well as into equity and asset allocation mandates.


Business Group Reporting
                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Institutional fees   253     243       176       4       44       694       642  
Wholesale Intermediary fees   218     194       183       12       19       592       612  

Total operating income   471     437       359       8       31       1,286       1,254  

Personnel expenses   221     207       168       7       32       616       583  
General and administrative expenses   116     96       106       21       9       311       323  
Depreciation   6     6       6       0       0       19       18  
Amortization of goodwill and other intangible assets   41     39       46       5       (11 )     120       145  

Total operating expenses   384     348       326       10       18       1,066       1,069  

Business Group performance before tax   87     89       33       (2 )     164       220       185  

Business Group performance before tax and amortization of goodwill and other intangible assets   128     128       79       0       62       340       330  
                                                         
KPI’s                                                        
Cost/income ratio (%)1   82     80       91                       83       85  
Cost/income ratio before goodwill (%)2   73     71       78                       74       74  

                                                         
Institutional                                                        
Invested assets (CHF billion)   305     297       273       3       12                  
of which: money market funds   16     17       18       (6 )     (11 )                
Net new money (CHF billion) 3   6.3     1.1       (3.6 )                     11.3       (3.8 )
of which: money market funds   (0.9 )     (1.9 )     (3.8 )                     (3.4 )     (4.1 )
Gross margin on invested assets
(bps)4
  34     35       24       (3 )     42       32       28  

                                                         
Wholesale Intermediary                                                        
Invested assets (CHF billion)   267     270       270       (1 )     (1 )                
of which: money market funds   102     107       117       (5 )     (13 )                
Net new money (CHF billion) 3   (1.4 )     1.3       0.8                       3.3       (5.5 )
of which: money market funds   (7.2 )     (3.9 )     0.3                       (10.5 )     (4.5 )
Gross margin on invested assets
(bps)4
  32     30       26       7       23       30       27  

                            % change from
               
Additional information                          
               
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Client assets (CHF billion)   572     567       543       1       5                  
Regulatory equity allocated (average)   1,000     1,000       1,050       0       (5 )                
Headcount (full-time equivalents)   2,674     2,714       2,743       (1 )     (3 )                

 

25


 

      

Global Asset Management
11 November 2003

 

 

 

      

Key performance indicators

The pre-goodwill cost/income ratio was 73% in third quarter 2003, up from 71% in second quarter. Increased revenues from higher performance fees and asset-based revenues, which rose on the back of improving financial markets, were offset by the rise in overall expenses.

(COST-INCOME RATIO BAR CHART)

Institutional

Institutional invested assets were CHF 305 billion on 30 September 2003, up from CHF 297 billion on 30 June 2003, reflecting strong net new money inflows and positive market movements that more than offset the effect of the stronger Swiss franc.

(INVESTED ASSETS; INSTITUTIONAL BAR CHART)

     Net new money was CHF 6.3 billion in third quarter 2003, up from CHF 1.1 billion in second quarter, and our best result since 2000. Inflows into alternative investments, particularly into funds of hedge funds, equity and asset allocation mandates more than offset the impact of the CHF 0.9 billion outflow from

lower margin money market funds. Positive inflows into equity mandates were recorded in all regions, particularly in the UK and US, with additional strong inflows into asset allocation mandates in the UK.

(NET NEW MONEY; INSTITUTIONAL BAR CHART)

     The gross margin, at 34 basis points in third quarter 2003, was slightly lower than the second quarter gross margin of 35 basis points due to lower seed capital gains.

(GROSS MARGIN ON INVESTED ASSETS BAR CHART)

Wholesale Intermediary

Invested assets were CHF 267 billion on 30 September 2003, down from CHF 270 billion on 30 June 2003. Positive financial market developments were more than offset by net new money outflows and the depreciation of the US dollar against the Swiss franc.
     Strong inflows in Asian and European fixed income mandates were offset by money market outflows of CHF 7.2 billion. Approximately half the money market outflow was related to the launch of UBS Bank USA (for more information, please refer to the sidebar in our second quarter 2003 report on page 44). The current low interest rate environment has also prompt-

 

26


 

      

(INVESTED ASSETS BAR CHART)

ed net outflows, and total investments in money market funds dropped from CHF 107 billion on 30 June 2003 to CHF 102 billion on 30 September 2003.

(NET NEW MONEY BAR CHART)

     In the US, the Investment Company Institute reported industry-wide net outflows of USD 80.2 billion in third quarter 2003, mainly out of money market funds. In Switzerland, Lipper, a Reuters company, recorded net outflows of CHF 0.8 billion in third quarter 2003, primarily due to CHF 2.1 billion in outflows from money market funds.

     The gross margin was 32 basis points in third quarter 2003, a two basis point increase from second quarter, reflecting our business mix changing towards higher margin assets.

(GROSS MARGIN ON INVESTED ASSETS BAR CHART)

Investment capabilities and performance

Equity markets improved, led by the US and Japan, as they benefited from increasing optimism for global economic growth and rising corporate earnings expectations, with technology stocks performing particularly well.

     Our actively managed Global Equity composite underperformed its benchmark during the quarter, reflecting our lack of exposure to strongly performing and highly leveraged, low-margin companies, as well as technology stocks. The composite did, however, maintain its significant outperformance over the longer term.
     Global bond market returns weakened as bond yields rose on the improved world economic outlook. Our Global Bond composite benefited from its reduced exposure to the bond market in third quarter. For the year to date, the portfolio has also benefited from its currency strategy. Relative returns for the Global Bond composite have been particularly strong in periods of up to three years.
     Asset allocation made another positive contribution in the quarter. Our overweight stance towards equities, over a period when markets have recovered significantly, has helped our global multi-asset mandates to outperform their benchmarks. Currency positioning also contributed positively.
     In the alternative and quantitative business, despite the difficult trading environment for

 

      

                                 
            Annualized  
           
 
Composite   1 Year     3 Years     5 Years     10 Years  

Global Equity Composite vs. MSCI World Equity (Free) Index
          +       +       +  
Global Bond Composite vs. Citigroup World Government Bond Index
    +       +       +       +  
Global Securities Composite vs. Global Securities Markets Index
    +       +       +       +  

(+) above benchmark; (–) under benchmark. All after fees.

 

27


 

      

Global Asset Management
11 November 2003

 

 

 

      

a number of strategies, the O’Connor multi-strategy Global Equity Arbitrage fund posted positive returns in third quarter. The O’Connor currency and rates portfolio performed very strongly, as did our DSI quantitative long/short products.

     The multi-manager programs registered strong performance in the quarter despite a difficult July with the rapid reversal in bond yields. Real estate continued to perform strongly on both a relative and absolute basis, with client demand remaining at a high level.

Initiatives and achievements

New Swiss pension services network launched

A new open architecture pension service is now on offer to small and medium-sized independent pension funds in Switzerland after Global Asset Management and Kessler & Co., an insurance broker, became partners in the Noventus PensionPartner network. Ecofin, a financial consultancy, launched the latter on 28 August 2003 to

provide pension funds with integrated and tailored asset management and advisory services, as well as operational management, administration and insurance.

     Global Asset Management is contributing its multi-manager platform to the venture, a concept that allows clients to simultaneously benefit from the investment strategies of twelve institutional managers from around the world. Ecofin is providing strategic asset allocation, and Kessler & Co insurance coverage.

(PERFORMANCE BEFORE TAX BAR CHART)

 


Real estate business – Meeting client demand for property investments

If anything, the turbulence experienced by financial markets in recent years has significantly increased demand by investors for less volatile investments. Because of that, many have turned to property investments, which historically have proven to be a strong source of income and total returns, not to mention being notable for their limited volatility and lack of correlation to other asset classes. This was not lost on Global Asset Management, and was the reason for creating a consolidated global real estate business earlier this year. Although property investments had been actively pursued by Global Asset Management for a number of years, the new platform now provides a centralized infrastructure and management with specialized property investment expertise. This gives clients a focused and global organization and the Business

 

Group itself a base from which to considerably expand its global range of real estate capabilities.

     The business purchases, sells and actively manages investments in property, including office, industrial, retail and residential real estate. It then structures them into private commingled funds, publicly listed investment funds or individually managed client accounts. With CHF 20 billion in invested assets and over 234 employees and 13 offices around the world, the business is organized into four regional units: the Americas, UK, Continental Europe and Asia Pacific.
     The Americas is the largest unit, with some 147 employees in Hartford, New York, Dallas and San Francisco. It has CHF 12 billion in invested assets in various funds and client mandates that hold some 260 properties – from offices and malls to

warehouses and hotels – as well as over 30,000 residential apartments. Also part of the Americas business is AgriVest, a farmland investment subsidiary. Farmland investments have similar return characteristics to property and provide solid risk-adjusted total returns with a significant income component. AgriVest has generated strong performance relative to the National Council of Real Estate Investment Fiduciaries (NCREIF) Farmland Index over its 12 year history.

     The Continental European business has CHF 6 billion in invested assets, all of which are currently in Swiss-based investment vehicles. These constitute more than a third of Switzerland’s listed real estate fund market. In the UK, the business manages CHF 1 billion in gross assets in the UBS Triton Property Fund and a fund of funds, with 43% of property investments

 

28


 

      

Results

Global Asset Management’s pre-tax profit was CHF 87 million in third quarter 2003, a decrease of CHF 2 million from second quarter 2003. Positive market developments and higher performance fees were major contributing factors to growing revenues, although they were offset by increased general and administrative and personnel expenses, reflecting higher incentive-based compensation. This resulted in a higher cost / income ratio of 82% in third quarter, up from 80% in second quarter.

Operating income

Operating income in third quarter 2003 was CHF 471 million, up 8% from CHF 437 million in second quarter 2003, reflecting positive market movements and higher performance-related revenues.
     Institutional revenues were CHF 253 million in third quarter 2003, up from CHF 243 million in second quarter 2003. The increase was due to higher performance-related rev-

enues, partially offset by lower seed capital gains at O’Connor.

     Positive market movements and a shift towards higher margin asset classes benefited Wholesale Intermediary revenues, which rose to CHF 218 million in third quarter 2003 from CHF 194 million in second quarter 2003.

Operating expenses

Operating expenses in third quarter 2003 were CHF 384 million, up 10% from CHF 348 million in second quarter 2003. Personnel expenses in third quarter 2003 were CHF 221 million, up CHF 14 million from second quarter 2003, due to higher incentive-based compensation reflecting increased performance-related revenues. General and administrative expenses were CHF 116 million in third quarter 2003, a CHF 20 million increase from CHF 96 million in second quarter 2003. The increase was mainly due to higher professional fees and fund advertising costs in Europe as well as operational provisions. Information technology costs increased due to the pur-

 


in retail, 33% in offices and 24% industrial. In Asia Pacific, CHF 1.35 billion in retail real estate is managed through a Tokyo-based joint venture with Mitsubishi Corporation.

     Many of the real estate investments around the world have exemplary track records. In the US, for example, the business has achieved an annualized return of 12.46% over 10 years compared to the benchmark return (the NCREIF Property Index) of 9.63%. In Switzerland, the majority of our listed real estate funds have outperformed their benchmark on a year to date basis. The UBS Triton Property Fund in the UK exceeds its long-term market benchmarks. In May 2002 it was awarded (for the third year in a row) the “Top Performing Portfolio” in its category for the three year period to December 2001 in the Estates Gazette / Investment Property
 

Databank awards. In Japan, the joint venture has proven to be a highly successful, growing business. The Japan Retail Fund, a publicly traded J-REIT (Japan Real Estate Investment Trust), has risen more than 30% between the time of its launch in March 2002 and the end of September this year.

     With the global platform now in place, management attention is focusing on the growth and development of the business. Increasing product development efforts will be targeted at developing open-end commingled funds that are tailored for distribution through UBS channels. These funds will pool together assets from many clients to reduce management and administration costs. As an example, Global Asset Management is working closely with Wealth Management & Business Banking to launch a new global real estate

fund of funds in second quarter 2004. In Continental Europe, the real estate platform was significantly expanded in July with the hiring of a senior management team previously employed by Lend Lease Real Estate Investments Europe. Their experience will assist the planned launch of an open-ended Euro real estate fund for wholesale clients. Additionally, several closed-end funds and individual client account investment vehicles will be targeted at European institutional investors. With an expanding line of products and deep worldwide management expertise, Global Asset Management’s real estate business is in a prime position to satisfy the increasing demand for an array of property investment products from institutional, high net worth and affluent investors.

 

29


 

      

Global Asset Management
11 November 2003

 

 

 

      

chase of additional licensing fees for global trading and client relationship systems and investments in a new fund administration platform.

Headcount

Headcount was 2,674 on 30 September 2003, down by 40 from 2,714 on 30 June 2003. The decline in headcount was mainly due to cost control initiatives in Europe and the US. Compared with a year earlier, headcount has fallen 3%.

Outlook

Strong market performance in all global financial markets allows Global Asset Management to look to the future with cautious optimism. The

(HEADCOUNT BAR CHART)

net new money inflows this year, predominantly into our higher-margin asset classes, as well as our outperformance versus investment benchmarks, should provide the basis to further improve our market position.

 

30


 

      

Investment Bank
11 November 2003

 

 

 

Investment Bank

 

(JOHN P. COSTAS)

John P. Costas
Chairman and CEO,
Investment Bank

In third quarter 2003, the Investment Bank as a whole posted a pre-tax profit of CHF 891 million. Due to strong results in Fixed Income, Rates and Currencies and robust client commissions in Equities, pre-tax profit at the Investment Banking & Securities business rose to CHF 965 million, up 35% from a year earlier, although 9% lower than the exceptionally strong second quarter.



Business Group Reporting
                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   3,428     3,803       2,865       (10 )     20       10,497       9,932  
Credit loss expense1   (12 )     (48 )     (22 )     (75 )     (45 )     (97 )     (88 )

Total operating income   3,416     3,755       2,843       (9 )     20       10,400       9,844  

Personnel expenses   1,866     2,093       1,821       (11 )     2       5,753       6,357  
General and administrative expenses   508     538       534       (6 )     (5 )     1,524       1,706  
Depreciation   81     74       89       9       (9 )     238       283  
Amortization of goodwill and other intangible assets   70     69       100       1       (30 )     209       288  

Total operating expenses   2,525     2,774       2,544       (9 )     (1 )     7,724       8,634  

Business Group performance before tax   891     981       299       (9 )     198       2,676       1,210  

Business Group performance before tax and amortization of goodwill and other intangible assets   961     1,050       399       (8 )     141       2,885       1,498  
                                                         
Additional information                                                        
Cost/income ratio (%)2   74     73       89                       74       87  
Cost/income ratio before goodwill (%)3   72     71       85                       72       84  
Net new money (CHF billion)4   0.2     0.1       0.1                       0.3       0.4  
Invested assets (CHF billion)   3     3       3       0       0                  
Client assets (CHF billion)   127     129       135       (2 )     (6 )                
Regulatory equity allocated (average)   12,550     12,700       13,100       (1 )     (4 )                

1 In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements).    2 Operating expenses/income.    3 Operating expenses less the amortization of goodwill and other intangible assets/income.    4 Excludes interest and dividend income.

 

31


 

      

Investment Bank
11 November 2003

 

 

 

Investment Banking & Securities

 

      

Business Unit Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Investment Banking   349     445       379       (22 )     (8 )     1,081       1,376  
Equities   1,288     1,377       1,453       (6 )     (11 )     3,484       4,417  
Fixed Income, Rates and Currencies   1,849     2,038       1,424       (9 )     30       6,122       5,440  

Income   3,486     3,860       3,256       (10 )     7       10,687       11,233  
Credit loss expense1   (12 )     (48 )     (22 )     (75 )     (45 )     (97 )     (88 )

Total operating income   3,474     3,812       3,234       (9 )     7       10,590       11,145  

Personnel expenses2   1,859     2,095       1,809       (11 )     3       5,742       6,307  
General and administrative expenses   503     508       519       (1 )     (3 )     1,480       1,659  
Depreciation   77     74       89       4       (13 )     234       282  
Amortization of goodwill and other intangible assets   70     69       100       1       (30 )     209       288  

Total operating expenses   2,509     2,746       2,517       (9 )     0       7,665       8,536  

Business unit performance before tax   965     1,066       717       (9 )     35       2,925       2,609  

Business unit performance before tax and amortization of goodwill and other intangible assets   1,035     1,135       817       (9 )     27       3,134       2,897  
                                                         
KPI’s                                                        
Compensation ratio (%)3   53     54       56                       54       56  

Cost/income ratio (%)4   72     71       77                       72       76  
Cost/income ratio before goodwill (%)5   70     69       74                       70       73  

Non-performing loans/gross loans (%)   1.2     1.3       2.2                                  
Impaired loans/gross loans (%)   2.1     2.5       4.5                                  
Average VaR (10-day 99%)   364     345       284       6       28                  

                            % change from
  Year to date
Additional information                          
 
As at or for the period ended   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Deferred releases included in credit loss expense1   (10 )     (14 )     10       29               (32 )     (2 )
Regulatory equity allocated (average)   12,100     12,250       12,600       (1 )     (4 )                
Headcount (full-time equivalents)   15,289     15,557       16,137       (2 )     (5 )                

1 In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements). Deferred releases represent amortization of historical differences between actual credit losses and actuarial expected loss (for more information, please refer to pages 39–40 of the UBS Financial Report 2002).    2 Includes retention payments in respect of the PaineWebber acquisition of CHF 10 million for 3Q02. There are no further retention payments in 2003.    3 Personnel expenses/income.    4 Operating expenses/income.    5 Operating expenses less the amortization of goodwill and other intangible assets/income.

 

32


 

      

Key performance indicators

We continued to show sustained profitability in third quarter 2003 due to our strict management of costs, with revenues from the Fixed Income, Rates and Currencies business and client commissions in the Equities business both higher than a year earlier. The pre-goodwill cost/income ratio was 70% in third quarter 2003, slightly higher than the record low of 69% in second quarter 2003, but well below the 74% posted in the third quarter a year earlier.

(COST-INCOME RATIO BAR CHART)

     The compensation ratio in third quarter 2003 fell to 53% from 56% in the same period a year earlier but remained roughly in line with the 54% posted in second quarter. Accrual levels for incentive-based compensation are driven by the revenue mix across business areas and managed in line with market levels. The exact level of annual performance-related payments is determined in the fourth quarter.

(COMPENSATION RATIO BAR CHART)

     Market risk for the Investment Bank, as measured by the average 10-day 99% confidence level Value at Risk (VaR) for the quarter, increased from CHF 345 million to CHF 364 million, but

remained within a similar range to the previous two quarters. The general increase in VaR in 2003, compared with levels in 2002, reflects the growth of the fixed income business, particularly in the US.

(AVERAGE VAR BAR CHART)

     Total loans held by the Investment Bank were CHF 66.4 billion on 30 September 2003. While the exposure did not materially change from second quarter 2003 (CHF 66.7 billion), we experienced a reallocation from interbank exposure to loans to customers. The non-performing loans to gross loans ratio decreased from 1.3% to 1.2%. The impaired loans to gross loans ratio decreased from 2.5% to 2.1%.

(IMPAIRED LOANS-GROSS LOANS BAR CHART)

League table rankings

Mergers and acquisitions

In third quarter, merger and acquisition activity picked up from the very low levels of the last two quarters. Although we believe that development will continue, we do not expect volumes to return to the exceptionally high levels of 1999 and 2000 in the foreseeable future. Based on Thompson SDC figures, we ranked seventh in the announced transactions category in third quarter, up from eighth in second quarter, increasing our market

 

33


 

      

Investment Bank 11
November 2003

 

 

 

      

Key performance indicators: league table rankings

                                                 
    30.9.03     30.6.03     30.9.02  
   
   
   
 
            Market             Market             Market  
    Rank     share %     Rank     share %     Rank     share %  

Global mergers and acquisitions (completed)1
  11   8.1     12       6.6       8       9.5  
International equity new issues2
  4   7.6     4       8.3       4       9.8  

1 Source: Thomson Financial Securities.    2 Source: Dealogic EquitywarePlus.

 

      

share in the year to date to 12.0% from 10.4% respectively. We ranked eleventh in completed merger and acquisition deals in third quarter with a year to date market share of 8.1%, up from twelfth with a 6.6% market share in second quarter. Among the most significant transactions we advised on in the quarter:
 
Financial advisor to Comcast, the largest US cable television operator, on the USD 7.9 billion sale of its 57% stake in QVC Inc to Liberty Media Corporation
 
Joint advisor to industrial group Suez on the USD 4.35 billion sale of its water treatment subsidiary Ondeo Nalco to a consortium of private equity firms
 
Sole advisor to Vodafone on the JPY 261.3 billion (USD 2.2 billion) leveraged disposal of fixed-line subsidiary Japan Telecom to Ripplewood, a US private equity group.

Equity underwriting

Issuers continued to execute a wide variety of deals, from rights issues and convertible bonds to block trades and initial public offerings. Whilst equity issuance volumes have improved steadily throughout the year, they remain weak, with rankings apt to be sensitive to large, individual transactions. According to Dealogic EquityWare, we kept the same fourth rank in international equity underwriting for both the third and second quarters, although our market share fell to 7.6% from 8.3% between the two periods. Major transactions in third quarter included:
 
Joint bookrunner on a USD 1.2 billion convertible bond for European chip manufacturer STMicroelectronics
 
Lead manager for Chunghwa Telecom’s USD 1.37 billion initial public offering.

Fixed income underwriting

Overall fixed income underwriting volumes were higher in the first three quarters of 2003 when compared to the same period in 2002. The increase

generally came from the high level of activity in Europe and Asia Pacific, which was slightly offset by declines in the US due to challenging interest rate conditions over summer. According to Thompson SDC, our international bond underwriting ranking fell to ninth with a 4.6% market share in third quarter from eighth with a 4.7% market share in second quarter. While we still aim to reach a top five rank, maintaining profitability remains our overarching priority and we have managed that successfully so far this year. Notable deals in third quarter included:
 
Lead-managed automobile manufacturer Ford’s USD 3 billion re-entry into the US market, when they priced 5-year and 10-year benchmark bond issues
 
Joint bookrunner on a 7-year EUR 1 billion issue for Russian natural gas producer Gazprom
 
Joint arranger and bookrunner on AUD 1 billion Hybrid Tier 1 bond issue for Australian/ New Zealand financial services group ANZ.

Initiatives and achievements

ABN AMRO’s US prime brokerage operations acquired

In September, UBS announced the acquisition of ABN AMRO’s US prime brokerage operations. The transaction, priced at USD 250 million, is expected to close in fourth quarter. The acquired business operates in several major US locations and services over 300 small hedge fund clients. The client base, mainly focused on smaller US hedge funds, provides an excellent complement to our existing Hedge Funds Services business, which is of similar scale but focused on larger hedge funds. Acquiring these primarily exclusive relationships with developing hedge funds will instantly boost our client pipeline. The combined unit, which is being consolidated into the Equities business, is evidence of our ability to grow by further developing our existing platform.

 

34


 

      

Corporate clients

In third quarter, the fee pool showed signs of recovery, rising 5% from the same period a year earlier. For seasonal reasons, however, it was down 13% from second quarter. According to Freeman data, we maintained our sixth ranking globally at the end of both second and third quarter, although our market share declined slightly to 4.6% from 4.7% between the two periods. Our share of the US market remained unchanged at 4.3%, although our ranking improved to eighth from ninth. In Asia Pacific, we saw a significant improvement, moving to fourth place and a 4.3% market share in third quarter, up from seventh place and a 3.6% share in second quarter.
     Our success in Asian markets was confirmed by a number of regional awards. In Australia, we were market leaders in advisory and equity capital markets, according to the 2003 Australian Greenwich Associates survey. We were also named Australian investment bank of the year in the global edition of CFO Magazine. The magazine noted “in a year of war, drastic equity market losses and general uncertainty, UBS was a standout performer against peers”.

Institutional clients

We continue to build on our institutional client franchise. For the sixth consecutive quarter we have maintained our first place in the global ranking for secondary equity cash commissions according to data released by a leading private industry survey. UBS has not only defended its market position, but also was the only broker among the top five to achieve growth in global market share, which now stands at 11%.
     Our excellent execution and sophisticated online capabilities allow us to deliver a wide range of products and services to our clients, a fact reinforced by the number of important awards we have received this quarter.
     For the second year running UBS was named FX House of the Year in The Banker, further recognizing our world leadership in e-commerce-based foreign exchange solutions.
     “In The Banker’s FX survey, UBS achieved an unprecedented level of client satisfaction across products and geographies,” the magazine commented.
     UBS was at the top of Risk Magazine’s global poll of derivatives users, winning first-place votes in 34 categories. We were ranked top in foreign

exchange across all categories. In the repurchase agreement (repo) categories, we received six first place rankings and we merited a significant number of top rankings in the interest rate categories.

     In terms of NYSE trading volumes, we maintained our third position with an 8.8% market share in third quarter, up from 8.7% last quarter. At NASDAQ, our seventh rank remained unchanged, although our market share decreased to 4.1% from 4.3% in second quarter.

Research

In third quarter 2003, our research teams again won a series of industry awards. In equities, we were ranked first in Europe and Asia, and fourth in the US in the Global Brokers magazine 2003 survey. We maintained our first-place equities ranking for the third consecutive year in Brazil, according to the latest Institutional Investor survey, which also ranked our Fixed Income, Rates and Currencies team fourth in the 2003 All-America poll.

Results

Pre-tax profit in third quarter 2003 was CHF 965 million, up 35% from the same period last year. Compared to the exceptionally strong second quarter 2003, however, profit fell 9%. Because of a sustained strong performance in our Fixed Income, Rates and Currencies business and robust results in the Equities business, it emerges as our second best quarterly performance of the last two years.

     The cost/income ratio was 72% in third quarter 2003, five percentage points below the same period last year and one percentage point above second quarter.

(PERFORMANCE BEFORE TAX BAR CHART)

 

35


 

      

Investment Bank
11 November 2003

 

      

Operating income

Revenues were CHF 3,486 million in third quarter 2003, up 7% from the same quarter last year but down 10% from second quarter 2003.

(INCOME BY BUSINESS BAR CHART)

     Investment Banking revenues stood at CHF 349 million, 8% lower than a year earlier due to the weakening of the US dollar against major currencies. Advisory revenues improved significantly because of the large number of high profile merger and acquisition transactions we participated in. Debt Capital Markets revenues increased compared to a year earlier, but due to low market activity in July and August, they did not reach the high level recorded in second quarter when clients took advantage of favorable conditions for capital raising.

     The Equities business posted revenues of CHF 1,288 million, a decrease of 11% compared to a year earlier. Equity Finance and Clearing revenues increased from 2002 levels, and will be further strengthened by the acquisition of ABN AMRO’s prime brokerage business, which will take effect during the fourth quarter. Client commissions remained robust and increased compared to third quarter 2002, but were offset by adverse currency movements and lower revenues from primary activity. In particular, primary revenues were down compared to second quarter 2003, when results were at one of the best levels recently seen.
     The Fixed Income, Rates and Currencies business delivered strong results in difficult markets, with revenues of CHF 1,849 million, an increase of 30% on the same quarter in 2002. The majority of revenues in this business

continue to come from the US and is therefore significantly affected by the year on year movements of the US dollar against the Swiss franc. Additionally, the third quarter result was impacted by negative revenue of CHF 192 million related to credit default swaps hedging credit exposures in the loan book, compared to a gain of CHF 321 million a year earlier. All major business lines generated improved revenues compared to third quarter 2002. The overall revenues in the Fixed Income, Rates and Currencies business were 9% lower than in second quarter as revenues from Fixed Income and Principal Finance declined on seasonal effects.

Operating expenses

Total operating expenses were CHF 2,509 million, largely unchanged from third quarter last year. They were 9% lower than second quarter due to a decrease in personnel expenses.
     In third quarter 2003, personnel expenses were CHF 1,859 million, up 3% from CHF 1,809 million in third quarter 2002. This reflects an increase in incentive-based compensation, which was partially offset by lower salaries. Compared to second quarter, personnel expenses fell 11%, reflecting lower revenues and reduced severance costs.
     General and administrative expenses were CHF 503 million, a decrease of 3% from a year earlier, mainly because of the US dollar’s weakening against major currencies.
     Depreciation expense decreased 13% from third quarter 2002 due to lower depreciation on IT equipment.
     Amortization of goodwill fell 30% in third quarter 2003 compared to the same period last year due to various assets becoming fully amortized.

(HEADCOUNT BAR CHART)

 

36


 

      

Headcount

Headcount, at 15,289 on 30 September 2003, dropped by 268 or 2% from the end of second quarter 2003 and 5% from the same time last year. This movement reflects reductions in investment banking and logistics initiated in second quarter following a review of our cost structure and staffing needs, and taking into account our productivity gains and automation of services.

Outlook

With markets showing signs of a pick-up in activity, especially in the US and Asia, there is reason to be cautiously optimistic. We believe that 2003 will be a better year for the industry than we have

seen for some time and we expect a consistent improvement in market conditions for the next couple of quarters. Despite that, we do not believe that activity will return to the levels seen in 1999 or 2000 for the foreseeable future.

     With our diversified business portfolio, we have demonstrated the ability to shift the focus according to market opportunities — taking advantage and capitalizing on revenue opportunities where they arise and withdrawing resources at the right moment, when conditions change. This ability will be equally important in coming quarters. At the same time, we continue to build our competitive strength, focusing on growth opportunities and winning market share.

 

37


 

      

Investment Bank
11 November 2003

 

Private Equity

      

Business Unit Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Total operating income   (58 )     (57 )     (391 )     (2 )     85       (190 )     (1,301 )

Personnel expenses   7     (2 )     12               (42 )     11       50  
General and administrative expenses   5     30       15       (83 )     (67 )     44       47  
Depreciation   4     0       0                       4       1  
Amortization of goodwill and other intangible assets   0     0       0                       0       0  

Total operating expenses   16     28       27       (43 )     (41 )     59       98  

Business unit performance before tax   (74 )     (85 )     (418 )     13       82       (249 )     (1,399 )

Business unit performance before tax and amortization of goodwill and other intangible assets     (74 )     (85 )     (418 )     13       82       (249 )     (1,399 )
                                                         
KPI’s                                                        

Value creation (CHF billion)   0.0     (0.1 )     (0.6 )     100       100       (0.2 )     (1.1 )

          % change from        
         
       
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Investment (CHF billion)1   2.8     3.0       3.6       (7 )     (22 )                

          % change from        
Additional information        
       
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Portfolio fair value (CHF billion)   3.6     3.6       4.4       0       (18 )                
Regulatory equity allocated (average)   450     450       500       0       (10 )                
Headcount (full-time equivalents)   52     54       78       (4 )     (33 )                

1 Historical cost of investments made, less divestments and impairments.

 

      

Key performance indicators

The level of our private equity investments stood at CHF 2.8 billion on 30 September 2003, compared to CHF 3.0 billion on 30 June 2003, reflecting writedowns, exits and currency fluctuations. Unfunded commitments, at CHF 1.8 billion, remained stable.

     In third quarter 2003, writedowns were CHF 70 million, up from CHF 58 million in second quarter 2003 but down from CHF 387 million in third quarter 2002. The fair value of the portfolio, at CHF 3.6 billion, has remained in line with last quarter. The level of net unrealized gains was CHF 777 million on 30 September

2003, higher than the level of CHF 683 million on 30 June 2003 due to selected valuation gains 2003, higher than the level of CHF 683 million

(INVESTMENT BAR CHART)

 

38


 

      

(VALUE CREATION BAR CHART)

Results

Results reflect the continued difficult market conditions for private equity. This protracted period of difficulty has affected the performance of a number of the companies in our portfolio. In third quarter, the pre-tax loss was CHF 74 million, a marked improvement from the CHF 418 million loss a year earlier, reflecting the significantly lower level of writedowns.

     Total operating expenses were CHF 16 million in third quarter 2003, down from CHF 27 million in the same period last year and CHF 28 million in second quarter 2003. Personnel expenses rose to CHF 7 million in third quarter compared to a negative CHF 2 million in second quarter. Second quarter expenses included a credit relating to the 2002 release of unutilized incentive payments. When this credit is excluded, third quarter expenses were broadly in line with second quarter and significantly lower from the same period last year, when expenses were CHF 12 million. General and administrative expenses fell to CHF 5 million in third quarter from CHF 30 million in the second quarter due to one-off costs of vacant premises in second quarter.

(PERFORMANCE BEFORE TAX BAR CHART)

Headcount

Headcount levels remained relatively stable. There were 52 employees on 30 September 2003, against 54 on 30 June 2003 and 78 at the end of the third quarter a year earlier.

Outlook

The private equity business will continue to focus on managing existing assets in order to maximize value for UBS shareholders and for investors in UBS funds. Consistent with the de-emphasis of this asset class, we continue to capitalize on orderly exit opportunities for investments when they arise and to reduce exposure to private equity funds. In that context, the recently announced sale of Global Garden Products to ABN AMRO Capital, and the structured third party funds transaction with Harbourvest are together expected to reduce our current level of private equity investments by approximately USD 0.5 billion. As the portfolio shrinks, our performance will continue to be linked to the economic conditions prevailing in the markets of our underlying investments.

 

39


 

      

Wealth Management USA
11 November 2003

 

Wealth Management USA

(PHOTO OF JOSEPH J. GRANO, JR.)

Joseph J. Grano, Jr.
Chairman and CEO,
Wealth Management USA

(PHOTO OF MARK B. SUTTON)

Mark B. Sutton
President and Chief Operating Officer,
Wealth Management USA

In third quarter 2003, Wealth Management USA’s pre-tax loss was CHF 43 million compared to pre-tax income of CHF 143 million in second quarter 2003. Excluding acquisition costs and a divestment gain in second quarter, pre-tax profit decreased 12% to CHF 170 million. On the same basis, but in US dollars, the operating result was 13% lower than the record US dollar performance achieved in second quarter, reflecting an industry-wide decline in the municipal securities business and the absence of revenues from the Correspondent Services business, which was sold in second quarter 2003. The performance in the private clients business remained strong, with US dollar recurring fees reaching record levels.


Business Group Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   1,284     1,457 1     1,315       (12 )     (2 )     3,907 1     4,346  
Credit loss expense2     (2 )     (3 )     (6 )     (33 )     (67 )     (7 )     (11 )

Total operating income   1,282     1,454       1,309       (12 )     (2 )     3,900       4,335  

Personnel expenses3   970     924       1,010       5       (4 )     2,782       3,318  
General and administrative expenses   229     263       278       (13 )     (18 )     738       986  
Depreciation   42     38       36       11       17       118       113  
Amortization of goodwill and other intangible assets   84     86       109       (2 )     (23 )     257       350  

Total operating expenses   1,325     1,311       1,433       1       (8 )     3,895       4,767  

Business Group performance before tax   (43 )     143       (124 )             65       5       (432 )

                                                         
Business Group reporting excluding acquisition costs and significant financial events
                                                         
Total operating income   1,282     1,293 4     1,309       (1 )     (2 )     3,739 4     4,335  
Add back: Net goodwill funding5   62     58       95       7       (35 )     181       301  

Operating income excluding acquisition costs   1,344     1,351       1,404       (1 )     (4 )     3,920       4,636  

Total operating expenses   1,325     1,311       1,433       1       (8 )     3,895       4,767  
Retention payments     (67 )     (67 )     (81 )     0       17       (201 )     (271 )
Amortization of goodwill and other intangible assets     (84 )     (86 )     (109 )     2       23       (257 )     (350 )

Operating expenses excluding acquisition costs   1,174     1,158       1,243       1       (6 )     3,437       4,146  

Business Group performance before tax and excluding acquisition costs   170     193       161       (12 )     6       483       490  

1    Includes significant financial event: gain on disposal of Correspondent Services Corporation of CHF 161 million.     2 In management accounts, statistically derived actuarial expected loss adjusted by deferred releases rather than the net IFRS actual credit loss is reported in the Business Groups (see Note 2 to the Financial Statements).     3 Includes retention payments in respect of the PaineWebber acquisition. 3Q03: CHF 67 million. 2Q03: CHF 67 million. 3Q02: CHF 81 million.     4 Excludes significant financial event: gain on disposal of Correspondent Services Corporation of CHF 161 million.    5 Goodwill and intangible asset-related funding, net of risk-free return on the corresponding equity allocated.

 

40


 

      

Wealth Management USA (continued)

                                                         
KPI’s   Quarter ended     % change from     Year to date  
   
   
   
 
    30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Invested assets (CHF billion)   626     622       597       1       5                  

Net new money (CHF billion)1   5.7     3.9       3.4                       13.3       12.2  
Interest and dividend income (CHF billion)2   4.0     3.8       5.3       5       (25 )     11.8       14.5  
Gross margin on invested assets (bps)3   82     98       85       (16 )     (4 )     87       83  
Gross margin on invested assets excluding acquisition costs and SFEs (bps)4   86     91       91       (5 )     (5 )     87       89  

Cost/income ratio (%)5   103     90       109                       100       110  
Cost/income ratio excluding acquisition costs and SFEs (%)6   87     86       88                       88       89  

Recurring fees7   512     455       522       13       (2 )     1,421       1,713  
Financial advisors (full-time equivalents)   8,001     8,284       8,587       (3 )     (7 )                

                                                         
                            % change from                  
Additional information                          
                 
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Client assets (CHF billion)   668     658       661       2       1                  
Regulatory equity allocated (average)   5,550     5,750       7,000       (3 )     (21 )                
Headcount (full-time equivalents)   18,204     18,566       19,363       (2 )     (6 )                

1 Excludes interest and dividend income.    2 For purposes of comparison with US peers.    3 Annualized income/average invested assets.    4 Annualized income, add back net goodwill funding and less significant financial events/average invested assets.    5 Operating expenses/income.    6Operating expenses less the amortization of goodwill and other intangible assets, retention payments and significant financial events/income, add back net goodwill funding and less significant financial events.    7 Asset-based and advisory revenues including fees from mutual funds, wrap fee products and insurance products.

 

41


 

      

Wealth Management USA
11 November 2003

 

      

Key performance indicators

Invested assets were CHF 626 billion on 30 September 2003, up 1% from CHF 622 billion on 30 June 2003. In US dollar terms, invested assets have increased 3% in the quarter, reflecting positive inflows of net new money and the effects of market appreciation on invested assets. Compared to the third quarter a year earlier, invested assets have increased 5%. In US dollar terms, invested assets were 18% higher on 30 September 2003 when compared to a year earlier.

(INVESTED ASSETS BAR CHART)

     The inflow of net new money was a very strong CHF 5.7 billion in third quarter 2003, significantly higher than CHF 3.9 billion in second quarter 2003 and CHF 3.4 billion reported for the third quarter a year earlier. Including interest and dividends, net new money in third quarter 2003 was CHF 9.7 billion, up from CHF 7.7 billion in second quarter 2003 and comparing very favorably to the net new money performance reported by competitors.

(NET NEW MONEY BAR CHART)

     Gross margin on invested assets was 82 basis points in third quarter 2003, compared to 98 basis points in second quarter. Before acquisi-

tion costs (goodwill and intangible asset amortization, net goodwill funding and retention payments) and excluding the gain from the sale of Correspondent Services Corporation (CSC) in second quarter, gross margin on invested assets decreased 5 basis points to 86 basis points. This reflects the decline in municipal securities revenues and the absence of CSC revenues, although their impact was somewhat offset by higher recurring fees.

(GROSS MARGIN ON INVESTED ASSETS BAR CHART)

     The cost/income ratio before acquisition costs was 87% in third quarter 2003, compared to 86% in second quarter 2003. The slight change is a result of a seasonal slowdown in client activity that impacted the level of non-recurring fees and the industry-wide decline in municipal securities activity. Compared to third quarter last year, the cost/income ratio improved by one percentage point, reflecting recovering revenues and the benefits of cost management initiatives.

(COST INCOME RATIO BAR CHART)

     Recurring fees were CHF 512 million in third quarter 2003, 13% higher than CHF 455 mil-

 

42


 

      

lion in second quarter 2003. Excluding the effects of currency fluctuations, recurring fees were up 11% on managed account fee gains resulting from increased asset levels, with clients investing more than USD 2.6 billion into them. Recurring fees also benefited from the higher level of fees for mutual fund products. In USD terms, third quarter recurring fees were at their highest level since PaineWebber became part of UBS.

(RECURRING FEES BAR CHART)

     The number of financial advisors was 8,001 on 30 September 2003, down 283 from 8,284 on 30 June 2003. We have been restricting the number of new trainees in our financial advisor training program and turnover rates have remained high for less productive advisors. We continue to invest in and recruit highly productive and experienced financial advisors. Additionally, given the improved market conditions, we have now resumed hiring new trainees.

(FINANCIAL ADVISORS BAR CHART)

Initiatives and achievements

UBS Bank USA opens successfully

UBS Bank USA opened successfully on 15 September 2003. By 30 September 2003, the bank

had USD 5.1 billion in assets, of which USD 3.4 billion were client borrowings under Premier Fixed and Premier Variable Credit Lines, partially funded by USD 2.2 billion in deposits.

     UBS Bank USA represents a significant step in further strengthening our balance sheet advisory offering to core affluent and high net worth clients, allowing us to provide them with Federal Deposit Insurance Corporation (FDIC) insured deposit accounts and enhanced collateralized lending capabilities.
     Prior to 15 September 2003, uninvested cash balances of clients were automatically swept into Global Asset Management money market funds. Now, however, future cash deposits of eligible clients will automatically be swept into UBS Bank USA’s FDIC insured deposits. The approximate total value of the money market funds that could potentially be affected by this gradual change is USD 30 billion.

Results

Investors were generally optimistic about economic and financial markets in third quarter, although latent concerns about inflation moderated their outlook. During the quarter, investor activity tailed off slightly, with average daily trading volumes down 2% because of a slowdown in July and August. The UBS Index of Investor Optimism fell in September from its level in June.

     Because our business is almost entirely conducted in US dollars, comparisons of third quarter results to prior periods are affected by the movement of the US dollar against the Swiss franc.
     In third quarter 2003, the pre-tax loss was CHF 43 million compared to pre-tax profit of 143 million in second quarter 2003 and a pre-tax loss of CHF 124 million in third quarter 2002. Second quarter 2003 results include a pre-tax gain of CHF 161 million from the sale of CSC to Fidelity Investments, which was treated as a significant financial event. Excluding acquisition costs and the divestment gain, pre-tax profit decreased 12% to CHF 170 million from CHF 193 million in second quarter 2003. On the same basis, but in US dollars, the operating result was 13% lower than the record US dollar performance achieved in second quarter, reflecting an industry-wide decline in the municipal securities

 

43


 

      

Wealth Management USA
11 November 2003

 

      

business. The performance in the private clients business remained strong, despite a seasonal decrease in client activity levels. Compared to third quarter 2002, operating pre-tax profit in US dollars increased 16%.

     The cost/income ratio was 103% in third quarter 2003; excluding acquisition costs and adjusted for the sale of CSC in second quarter, the ratio increased to 87% in third quarter from 86% in second quarter.

(PERFORMANCE BEFORE TAX BAR CHART)

Operating income

Total operating income in third quarter 2003 was CHF 1,282 million. Excluding acquisition costs (net goodwill funding) and the gain from the CSC sale in second quarter, it was 1% lower than in second quarter 2003 and 4% lower than in third quarter 2002. On the same basis and in US dollar terms, operating income was 2% lower than in second quarter. This reflects lower revenues in the municipal securities business, due to an industry-wide decrease in underwriting volumes, and the loss of revenues from the CSC divestment as well as a seasonal slowdown in client transactions. This negative impact was compensated by an increase in recurring fees, now representing 38% of operating income, excluding acquisition costs. In US dollars, operating income rose 5% in third quarter from a year earlier.

Operating expenses

In third quarter 2003, total operating expenses were CHF 1,325 million, 1% higher than second quarter 2003. In US dollar terms and before acquisition costs, operating expenses were unchanged from second quarter.

     Personnel expenses were CHF 970 million, up 5% from second quarter 2003. On a US dollar basis they increased 3% reflecting higher performance-related compensation in our private client business.

     Non-personnel expenses, which include general and administrative, depreciation and amortization expenses, decreased 8% to CHF 355 million in third quarter 2003 from CHF 387 million in second quarter due to reduced provisions for legal costs and the effect of the CSC divestment.

Headcount

Headcount was 18,204 on 30 September 2003, a decrease of 362 from 30 June 2003. The decline reflects the decrease in number of financial advisors and a reduction of non-financial advisors headcount as a result of our continuing cost management initiatives. Non-financial advisor head-count fell by 79 during the quarter and is more than 5% lower than last year. Since becoming part of UBS, non-financial advisor headcount has decreased by 21%.

(HEADCOUNT BAR CHART)

Outlook

Toward the end of third quarter, investors in the US expressed increasing optimism about equity market developments, despite persistent concerns about inflation and future economic prospects. Given the recent improvement in market conditions, we are cautiously optimistic about the future. But, in view of the remaining uncertainty about market developments, our costs and staffing levels will continue to be tightly monitored and controlled.

 

44


 

      

Corporate Center
11 November 2003

 

Corporate Center

      

Business Group Reporting

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million, except where indicated   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Income   239     282       517       (15 )     (54 )     722       1,9551  
Credit loss (expense)/recovery2   66     118       7       (44 )     843       176       130  

Total operating income   305     400       524       (24 )     (42 )     898       2,085  

Personnel expenses   170     220       245       (23 )     (31 )     576       797  
General and administrative expenses   40     176       204       (77 )     (80 )     273       513  
Depreciation   112     104       120       8       (7 )     330       379  
Amortization of goodwill and other intangible assets   23     25       29       (8 )     (21 )     74       89  

Total operating expenses   345     525       598       (34 )     (42 )     1,253       1,778  

Business Group performance before tax     (40 )     (125 )     (74 )     68       46       (355 )     307  

                                                         
Business Group reporting excluding significant financial events
Total operating income   305     400       524       (24 )     (42 )     898       1,9303  
Total operating expenses   345     525       598       (34 )     (42 )     1,253       1,778  

Business Group performance before tax     (40 )     (125 )     (74 )     68       46       (355 )     152  

Business Group performance before tax and amortization of goodwill and other intangible assets     (17 )     (100 )     (45 )     83       62       (281 )     241  
                                                         
Private Banks & GAM                                                        
Performance before tax   63     43       46       47       37       162       1503  
Performance before tax and amortization of goodwill and other intangible assets   83     63       68       32       22       223       2203  

Invested assets (CHF billion)   80     76       70       5       14                  
Net new money (CHF billion)4   2.4     1.2       0.9                       4.2       3.3  

Headcount (full-time equivalents)   1,657     1,673       1,719       (1 )     (4 )                

                                                         
                            % change from                  
Additional information                          
                   
As at   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

Regulatory equity allocated (average)   9,650     9,500       10,150       2       (5 )                
Total headcount (full-time equivalents)   2,766     2,836       2,925       (2 )     (5 )                

1 Includes significant financial event: gain on disposal of Hyposwiss of CHF 155 million.    2 In order to show the relevant Business Group performance over time, adjusted expected loss figures rather than the net IFRS actual credit loss expenses are reported for all Business Groups. The difference between the adjusted expected loss figures and the net IFRS actual credit loss expense recorded at Group level is reported in the Corporate Center (see Note 2 to the Financial Statements).    3 Excludes significant financial event: gain on disposal of Hyposwiss of CHF 155 million.    4 Excludes interest and dividend income.

 

45


 

      

Corporate Center
11 November 2003

 

      

Results

In third quarter 2003, Corporate Center recorded a pre-tax loss of CHF 40 million, compared to a pre-tax loss of CHF 74 million in the same quarter a year earlier.

     The credit loss expense or recovery booked in the Corporate Center represents the difference between the statistically calculated adjusted expected losses charged to the business units and the actual credit loss recognized in the UBS financial statements. UBS recorded an actual credit loss recovery of CHF 26 million this quarter, compared to a credit loss expense of CHF 95 million in third quarter 2002. Actual credit loss expense in both periods was lower than the adjusted credit loss expense charged to the business units, resulting in a credit loss recovery at Corporate Center of CHF 66 million this quarter and CHF 7 million in the same quarter a year ago.
     Total operating income dropped 42% from CHF 524 million in third quarter 2002 to CHF 305 million in the same quarter this year. The drop mainly reflects the deconsolidaton of Klinik Hirslanden (sold in fourth quarter 2002), and lower gains from investments. This was partially offset by lower writedowns on financial investments and higher credit loss recoveries.
     Total operating expenses dropped to CHF 345 million in third quarter 2003, down from CHF 598 million in third quarter 2002. Personnel expenses declined 31% to CHF 170 million, reflecting the deconsolidation of Klinik Hirs-landen. In the same period, general and administrative expenses decreased to CHF 40 million in third quarter, down from CHF 204 million a year earlier. This was mainly due to lower legal provisions and the disposal of Klinik Hirs-landen.

Headcount

Corporate Center headcount, excluding Private Banks & GAM, was 1,109 on 30 September 2003, down by 54 from 30 June 2003, mainly due to a lower number of assignees and the transfer of human resources staff to the Business Groups.

Private Banks & GAM

Invested assets were CHF 80 billion on 30 September 2003, up from CHF 76 billion on 30 June 2003, reflecting strong net new money inflows and positive financial markets.

     Net new money was CHF 2.4 billion in third quarter 2003, up from CHF 1.2 billion in second quarter, driven by very strong inflows into GAM.
     Pre-tax net profit increased by CHF 20 million to CHF 63 million in third quarter 2003 from second quarter. Before goodwill, net profit also rose CHF 20 million to CHF 83 million in third quarter. Revenues continued to benefit from higher fee income, reflecting the higher asset base, while trading income picked up due to higher client activity. Second quarter 2003 expenses were influenced by CHF 10 million in restructuring costs related to the merger of Cantrade, Bank Ehinger and Armand von Ernst to form Ehinger & Armand von Ernst. Excluding the restructuring costs, expenses rose on the back of higher incentive-based compensation, which was up in line with performance.

Headcount Private Banks & GAM

Headcount in Private Banks & GAM decreased by 16 to 1,657 in third quarter from second quarter, mainly due to rationalization measures put in place in the individual private banks. Overall the merger of the three private banks in second quarter 2003 will lead to a headcount reduction of up to 80 people.

(HEADCOUNT BAR CHART)

 

46


 

      

Financial Statements
11 November 2003

 

Financial Statements

      

UBS Income Statement (unaudited)

                                                                 
            Quarter ended     % change from     Year to date  
           
   
   
 
CHF million, except per share data   Note     30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Operating income                                                                
Interest income     3     10,144     10,644       10,409       (5 )     (3 )     30,420       31,266  
Interest expense     3     (6,787 )     (7,618 )     (7,683 )     (11 )     (12 )     (21,128 )     (23,417 )

Net interest income           3,357     3,026       2,726       11       23       9,292       7,849  
Credit loss (expense)/recovery           26     24       (95 )     8               (54 )     (217 )

Net interest income after credit loss expense           3,383     3,050       2,631       11       29       9,238       7,632  

Net fee and commission income     4     4,386     4,313       4,299       2       2       12,525       13,985  
Net trading income     3     642     1,333       1,027       (52 )     (37 )     3,236       4,906  
Other income     5     79     415       43       (81 )     84       375       74  

Total operating income           8,490     9,111       8,000       (7 )     6       25,374       26,597  

Operating expenses                                                                
Personnel expenses     6     4,372     4,619       4,411       (5 )     (1 )     13,193       14,503  
General and administrative expenses     7     1,422     1,600       1,720       (11 )     (17 )     4,419       5,232  
Depreciation of property and equipment           321     331       352       (3 )     (9 )     988       1,123  
Amortization of goodwill and other intangible assets           238     238       305       0       (22 )     718       943  

Total operating expenses           6,353     6,788       6,788       (6 )     (6 )     19,318       21,801  

Operating profit before tax and minority interests           2,137     2,323       1,212       (8 )     76       6,056       4,796  

Tax expense             383       592       202       (35 )     90       1,285       887  

Net profit before minority interests           1,754     1,731       1,010       1       74       4,771       3,909  

Minority interests           (81)     (92 )     (68 )     (12 )     19       (245 )     (273 )

Net profit           1,673     1,639       942       2       78       4,526       3,636  

Basic earnings per share (CHF)     8     1.52     1.44       0.79       6       92       4.00       2.98  
Diluted earnings per share (CHF)     8     1.47     1.42       0.76       4       93       3.93       2.84  

 

47


 

      

Financial Statement
11 November 2003

UBS Balance Sheet (unaudited)

                                 
                            % change from  
CHF million   30.9.03     30.6.03     31.12.02     31.12.02  

Assets                                
Cash and balances with central banks   4,790     5,231       4,271       12  
Due from banks   38,694     43,605       32,468       19  
Cash collateral on securities borrowed   184,328     179,218       139,052       33  
Reverse repurchase agreements   310,470     346,320       294,086       6  
Trading portfolio assets   436,278     446,137       371,436       17  
Positive replacement values   92,264     87,376       82,092       12  
Loans   216,895     211,937       211,647       2  
Financial investments   6,166     6,616       8,391       (27 )
Accrued income and prepaid expenses   7,186     6,322       6,453       11  
Investments in associates   1,870     1,710       705       165  
Property and equipment   7,443     7,529       7,869       (5 )
Goodwill and other intangible assets   12,128     12,684       13,696       (11 )
Other assets   9,628     10,806       8,952       8  

Total assets   1,328,140     1,365,491       1,181,118       12  

Total subordinated assets   4,218     4,018       3,652       15  

Liabilities                                
Due to banks   115,295     119,801       83,178       39  
Cash collateral on securities lent   46,436     40,280       36,870       26  
Repurchase agreements   395,213     428,846       366,858       8  
Trading portfolio liabilities   137,053     136,038       106,453       29  
Negative replacement values   103,831     92,963       81,282       28  
Due to customers   330,589     328,305       306,876       8  
Accrued expenses and deferred income   15,481     12,294       15,331       1  
Debt issued   123,275     146,141       129,411       (5 )
Other liabilities   21,384     20,178       12,339       73  

Total liabilities   1,288,557     1,324,846       1,138,598       13  

Minority interests   3,879     3,953       3,529       10  

Shareholders’ equity                                
Share capital   946     1,006       1,005       (6 )
Share premium account   7,114     12,545       12,638       (44 )
Net gains/(losses) not recognized                                
in the income statement, net of tax     (196 )     (173 )     (159 )     (23 )
Retained earnings   34,866     33,193       32,638       7  
Treasury shares   (7,026 )     (9,879 )     (7,131 )     1  

Total shareholders’ equity   35,704     36,692       38,991       (8 )

Total liabilities, minority interests and shareholders’ equity   1,328,140     1,365,491       1,181,118       12  

Total subordinated liabilities   8,531     8,702       10,102       (16 )

 

48


 

      

UBS Statement of Changes in Equity (unaudited)

                 
CHF million            
For the nine month period ended   30.9.03     30.9.02  

Issued and paid up share capital                
Balance at the beginning of the period   1,005     3,589  
Issue of share capital   2     5  
Capital repayment by par value reduction   0     (2,509 )
Cancelation of second trading line treasury shares     (61 )     (81 )

Balance at the end of the period   946     1,004  

Share premium                
Balance at the beginning of the period   12,638     14,408  
Premium on shares issued and warrants exercised   115     81  
Net premium/(discount) on treasury share and own equity derivative activity     (171 )     (53 )
Cancelation of second trading line treasury shares   (5,468 )     (2,209 )

Balance at the end of the period   7,114     12,227  

Net gains/(losses) not recognized in the income statement, net of taxes Foreign currency translation                
Balance at the beginning of the period     (849 )     (769 )
Movements during the period     (165 )     307  

Subtotal — balance at the end of the period   (1,014 )     (462 )

Net unrealized gains/(losses) on available for sale investments, net of taxes                
Balance at the beginning of the period   946     1,035  
Net unrealized gains/(losses) on available for sale investments     (59 )     (196 )
Impairment charges reclassified to the income statement   271     639  
Gains reclassified to the income statement     (163 )     (500 )
Losses reclassified to the income statement   20     10  

Subtotal — balance at the end of the period   1,015     988  

Change in fair value of derivative instruments designated as cash flow hedges, net of taxes                
Balance at the beginning of the period     (256 )     (459 )
Net unrealized gains/(losses) on the revaluation of cash flow hedges   121     37  
Net (gains)/losses reclassified to the income statement     (62 )     (156 )

Subtotal — balance at the end of the period   (197 )     (578 )

Balance at the end of the period   (196 )     (52 )

Retained earnings                
Balance at the beginning of the period   32,638     29,103  
Net profit for the period   4,526     3,636  
Dividends paid1   (2,298 )     0  

Balance at the end of the period   34,866     32,739  

Treasury shares, at cost                
Balance at the beginning of the period   (7,131 )     (3,377 )
Acquisitions   (6,722 )     (6,076 )
Disposals   1,298     2,041  
Cancelation of second trading line treasury shares   5,529     2,290  

Balance at the end of the period   (7,026 )     (5,122 )

Total shareholders’ equity   35,704     40,796  

1 A dividend of CHF 2.00 per share was paid out on 23 April 2003. In July 2002 a par value reduction of CHF 2.00 per share was paid out instead of a dividend.

Out of the total number of 98,068,507 treasury shares on 30 September 2003, 42,940,000 shares have been repurchased for cancelation. On 30 September 2003, a maximum of 7,432,025 shares can be issued against the exercise of options from former PaineWebber employee option plans.

 

49


 

      

Financial Statements
11 November 2003

UBS Statement of Cash Flows (unaudited)

                   
CHF million            
For the nine month period ended   30.9.03     30.9.02  

Cash flow from/(used in) operating activities                
Net profit   4,526     3,636  
Adjustments to reconcile net profit to cash flow from/ (used in) operating activities                
Non-cash items included in net profit and other adjustments:                
  Depreciation of property and equipment   988     1,123  
  Amortization of goodwill and other intangible assets   718     943  
  Credit loss expense/(recovery)   54     217  
  Equity in income of associates     (114 )     (27 )
  Deferred tax expense/(benefit)   320     (637 )
  Net loss/(gain) from investing activities   41     685  
Net (increase)/decrease in operating assets:                
  Net due from/to banks   32,044     (15,844 )
  Reverse repurchase agreements and cash collateral on securities borrowed   (61,660 )     (52,576 )
  Trading portfolio and net replacement values   (32,111 )     36,506  
  Loans/due to customers   17,496     2,883  
  Accrued income, prepaid expenses and other assets   (1,427 )     1,171  
Net increase/(decrease) in operating liabilities:                
  Repurchase agreements, cash collateral on securities lent   37,921     20,969  
  Accrued expenses and other liabilities   9,976     (2,238 )
Income taxes paid     (789 )     (773 )

Net cash flow from/(used in) operating activities   7,983     (3,962 )

Cash flow from/(used in) investing activities                
Investments in subsidiaries and associates     (83 )     (30 )
Disposal of subsidiaries and associates   726     231  
Purchase of property and equipment     (778 )     (1,336 )
Disposal of property and equipment   68     84  
Net (investment in)/divestment of financial investments   1,453     2,290  

Net cash flow from/(used in) investing activities   1,386     1,239  

Cash flow from/(used in) financing activities                
Net money market paper issued/(repaid)   (10,478 )     (23,549 )
Net movements in treasury shares and own equity derivative activity   (5,480 )     (4,007 )
Capital issuance   2     5  
Capital repayment by par value reduction   0     (2,509 )
Dividends paid   (2,298 )     0  
Issuance of long-term debt   19,206     11,746  
Repayment of long-term debt   (12,342 )     (10,450 )
Increase in minority interests   488     185  
Dividend payments to/and purchase from minority interests     (231 )     (213 )

Net cash flow from/(used in) financing activities   (11,133 )     (28,792 )
Effects of exchange rate differences     (169 )     (1,539 )

Net increase/(decrease) in cash equivalents   (1,933 )     (33,054 )
Cash and cash equivalents, beginning of the period   82,344     116,259  

Cash and cash equivalents, end of the period   80,411     83,205  

Cash and cash equivalents comprise:                
Cash and balances with central banks   4,790     3,204  
Money market paper1   38,440     50,778  
Due from banks maturing in less than three months   37,181     29,223  

Total   80,411     83,205  

1 Money market paper is included in the Balance sheet under Trading portfolio assets and Financial investments. CHF 5,206 million and CHF 17,386 million were pledged at 30 September 2003 and 30 September 2002, respectively.

 

50


 

      

Notes to the Financial Statements
11 November 2003

 

Notes to the Financial Statements (unaudited)

      

Note 1 Basis of Accounting

      

 

      

UBS AG’s (“UBS”) consolidated financial statements (“the Financial Statements”) are prepared in accordance with International Financial Reporting Standards (IFRS) and stated in Swiss francs (CHF). These Financial Statements are presented in accordance with IAS 34 “Interim Financial Statements”. In preparing the interim Financial Statements, the same accounting principles and methods of computation are applied as in the Financial Statements at 31 December 2002 and for the year then ended. These interim Financial Statements should be read in conjunction with the audited Financial Statements included in the UBS Financial Report 2002.

     In the first quarter 2003, UBS’s five independently operating private banks and GAM were transferred out of Wealth Management & Business Banking and Global Asset Management into a separate holding company held by Corporate

Center. Note 2 to the interim Financial Statements reflects the changed Business Group structure and associated management accounting changes. Comparative prior period amounts have been restated to conform to the current year presentation.

     UBS sponsors the formation of companies, which may or may not be directly or indirectly owned subsidiaries, for the purpose of asset securitization transactions and to accomplish certain narrow and well-defined objectives. These companies may acquire assets directly or indirectly from UBS or its affiliates. Some of these companies are bankruptcy-remote entities whose assets are not available to satisfy the claims of creditors of UBS or any of its subsidiaries. Such companies are consolidated in the Financial Statements when the relationship between UBS and the company indicates that it is controlled by UBS.

 

51


 

      

Notes to the Financial Statements
11 November 2003

 

Note 2 Reporting by Business Group

The Business Group results are presented on a management reporting basis. Consequently, internal charges and transfer pricing adjustments are reflected in the performance of each business. Revenue sharing agreements are used to allocate external customer revenues to a Business Group on a reasonable basis. Transactions between Business Groups are conducted at arm’s length.

                                                 
For the nine months ended 30 September 2003                                          
                            Wealth              
    Wealth Management &     Global Asset     Investment     Management     Corporate        
CHF million   Business Banking     Management     Bank     USA     Center     UBS  

Income
    9,016       1,286       10,497       3,907       722       25,428  
Credit loss (expense)/recovery1
    (126 )     0       (97 )     (7 )     176       (54 )

Total operating income
    8,890       1,286       10,400       3,900       898       25,374  

Personnel expenses
    3,466       616       5,753       2,782       576       13,193  
General and administrative expenses
    1,573       311       1,524       738       273       4,419  
Depreciation
    283       19       238       118       330       988  
Amortization of goodwill and other intangible assets
    58       120       209       257       74       718  

Total operating expenses
    5,380       1,066       7,724       3,895       1,253       19,318  

Business Group performance before tax
  3,510   220   2,676   5     (355 )   6,056
Tax expense
                                            1,285  

Net profit before minority interests
                                          4,771
Minority interests
                                            (245 )

Net profit
                                          4,526

1 In order to show the relevant Business Group performance over time, adjusted expected loss figures rather than the IFRS actual net credit loss expense are reported for each Business Group. The adjusted expected loss is the statistically derived actuarial expected loss which reflects the inherent counterparty and country risks in the respective portfolios, plus the deferred releases representing the amortized historical differences between actual credit losses and actuarial expected loss. The difference between the adjusted expected loss figures and the IFRS actual net credit loss expense recorded at Group level for financial reporting purposes is reported in the Corporate Center. The Business Group breakdown of the net credit loss expense for financial reporting purposes of CHF 54 million for the nine months ended 30 September 2003 is as follows: Wealth Management & Business Banking CHF 33 million recovery, Investment Bank CHF 86 million expense, Wealth Management USA CHF 3 million expense and Corporate Center CHF 2 million recovery.
                                                 
For the nine months ended 30 September 2002                                          
                            Wealth              
    Wealth Management &     Global Asset     Investment     Management     Corporate        
CHF million   Business Banking     Management     Bank     USA     Center     UBS  

Income
    9,327       1,254       9,932       4,346       1,955       26,814  
Credit loss (expense)/recovery1
    (248 )     0       (88 )     (11 )     130       (217 )

Total operating income
    9,079       1,254       9,844       4,335       2,085       26,597  

Personnel expenses
    3,448       583       6,357       3,318       797       14,503  
General and administrative expenses
    1,704       323       1,706       986       513       5,232  
Depreciation
    330       18       283       113       379       1,123  
Amortization of goodwill and other intangible assets
    71       145       288       350       89       943  

Total operating expenses
    5,553       1,069       8,634       4,767       1,778       21,801  

Business Group performance before tax
  3,526   185   1,210     (432 )   307   4,796
Tax expense
                                            887  

Net profit before minority interests
                                          3,909
Minority interests
                                            (273 )

Net profit
                                          3,636

1 In order to show the relevant Business Group performance over time, adjusted expected loss figures rather than the IFRS actual net credit loss expense are reported for each Business Group. The adjusted expected loss is the statistically derived actuarial expected loss which reflects the inherent counterparty and country risks in the respective portfolios, plus the deferred releases representing the amortized historical differences between actual credit losses and actuarial expected loss. The difference between the adjusted expected loss figures and the IFRS actual net credit loss expense recorded at Group level for financial reporting purposes is reported in the Corporate Center. The Business Group breakdown of the net credit loss expense for financial reporting purposes of CHF 217 million for the nine months ended 30 September 2002 is as follows: Wealth Management & Business Banking CHF 178 million expense, Investment Bank CHF 37 million expense, Wealth Management USA CHF 14 million expense and Corporate Center CHF 12 million recovery.

52


 

      

Note 3 Net Interest and Trading Income

Accounting standards require separate disclosure of net interest income and net trading income by type of income (see the second and the third tables). This required disclosure, however, does not take into account that net interest and trading income are generated by a range of different business activities. In many cases, a particular business activity can generate both net interest and trading income. Fixed income trading activity, for example, generates both trading profits and coupon income. UBS management therefore analyzes net interest and trading income according to the business activity generating it. The first table below (labeled Net interest and trading income) provides information that corresponds to this management view. For example, net income from trading activities is further broken down into the four sub-components of Equities, Fixed income, Foreign exchange and Other. These activities generate both types of income (interest and trading revenue) and therefore this analysis is not comparable to the breakdown provided in the third table on the next page (Net trading income only).

Net Interest and Trading Income

                                                           
      Quarter ended     % change from     Year to date  
     
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Net interest income   3,357     3,026       2,726       11       23       9,292       7,849  
Net trading income   642     1,333       1,027       (52 )     (37 )     3,236       4,906  

Total net interest and trading income   3,999     4,359       3,753       (8 )     7       12,528       12,755  

                                                         
Breakdown by business activity
      Quarter ended
    % change from     Year to date  
     
   
   
 
CHF million   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Net income from interest margin products   1,267     1,292       1,238       (2 )     2       3,844       3,979  

  Equities   743     700       807       6       (8 )     1,758       2,272  
  Fixed income   1,568     1,794       1,389       (13 )     13       5,362       4,991  
  Foreign exchange   351     419       287       (16 )     22       1,140       1,172  
  Other   83     85       59       (2 )     41       244       199  

Net income from trading activities   2,745     2,998       2,542       (8 )     8       8,504       8,634  

Net income from treasury activities   334     354       328       (6 )     2       1,072       1,232  

Other1     (347 )     (285 )     (355 )     (22 )     2       (892 )     (1,090 )

Total net interest and trading income   3,999     4,359       3,753       (8 )     7       12,528       12,755  

1 Principally external funding costs of the Paine Webber Group, Inc. acquisition.

 

53


 

      

Notes to the Financial Statements
11 November 2003

Note 3 Net Interest and Trading Income (continued)

Net interest income1

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Interest income                                                        
Interest earned on loans and advances   2,794     2,822       2,808       (1 )     0       8,188       8,937  
Interest earned on securities borrowed and reverse repurchase agreements   2,538     2,861       3,290       (11 )     (23 )     8,243       9,173  
Interest and dividend income from financial investments   13     22       77       (41 )     (83 )     60       139  
Interest and dividend income from trading portfolio   4,799     4,939       4,234       (3 )     13       13,929       13,017  

Total   10,144     10,644       10,409       (5 )     (3 )     30,420       31,266  

Interest expense                                                        
Interest on amounts due to banks and customers   1,017     1,160       1,531       (12 )     (34 )     3,369       4,955  
Interest on securities lent and repurchase agreements   2,448     2,631       2,944       (7 )     (17 )     7,561       8,396  
Interest and dividend expense from trading portfolio   2,571     2,979       2,124       (14 )     21       7,795       6,396  
Interest on debt issued   751     848       1,084       (11 )     (31 )     2,403       3,670  

Total   6,787     7,618       7,683       (11 )     (12 )     21,128       23,417  

Net interest income   3,357     3,026       2,726       11       23       9,292       7,849  

                                                         
Net trading income1
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Equities   331     632       702       (48 )     (53 )     1,145       2,187  
Fixed income2     (54 )     219       45                       784       1,274  
Foreign exchange and other   365     482       280       (24 )     30       1,307       1,445  

Net trading income   642     1,333       1,027       (52 )     (37 )     3,236       4,906  

1 Please refer to the table “Net Interest and Trading Income” on the previous page for the Equities, Fixed income, Foreign exchange and Other business results (for an explanation, read the corresponding introductory comment).    2 Includes commodities trading income.

 

54


 

      

Note 4 Net Fee and Commission Income

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Underwriting fees   492     654       528       (25 )     (7 )     1,583       1,606  
Corporate finance fees   188     153       167       23       13       455       596  
Brokerage fees   1,465     1,419       1,419       3       3       4,113       4,644  
Investment fund fees   1,031     931       951       11       8       2,844       3,135  
Fiduciary fees   60     62       71       (3 )     (15 )     185       232  
Custodian fees   299     305       296       (2 )     1       883       985  
Portfolio and other management and advisory fees   1,022     911       939       12       9       2,834       3,130  
Insurance-related and other fees   94     89       98       6       (4 )     286       336  

Total securities trading and investment activity fees   4,651     4,524       4,469       3       4       13,183       14,664  

Credit-related fees and commissions   60     53       80       13       (25 )     175       216  
Commission income from other services   259     275       242       (6 )     7       794       749  

Total fee and commission income   4,970     4,852       4,791       2       4       14,152       15,629  

Brokerage fees paid   390     356       321       10       21       1,080       1,026  
Other   194     183       171       6       13       547       618  

Total fee and commission expense   584     539       492       8       19       1,627       1,644  

Net fee and commission income   4,386     4,313       4,299       2       2       12,525       13,985  

 

55


 

      

Notes to the Financial Statements
11 November 2003

Note 5 Other Income

                                                           
      Quarter ended     % change from     Year to date  
     
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Gains/losses from disposal of associates and subsidiaries                                                        
Net gain from disposal of:                                                        
  Consolidated subsidiaries   3     164       0       (98 )             167       156  
  Investments in associates   1     1       0       0               2       0  

Total   4     165       0       (98 )             169       156  

Financial investments available for sale                                                        
Net gain from disposal of:                                                        
  Private equity investments   27     20       42       35       (36 )     110       157  
  Other financial investments   6     81       162       (93 )     (96 )     92       431  
Impairment charges on private equity investments and other financial investments     (83 )     (89 )     (444 )     7       81       (412 )     (1,487 )

Total     (50 )     12       (240 )             79       (210 )     (899 )

Net income from investments in property   17     23       18       (26 )     (6 )     56       58  
Equity in income of associates   42     62       12       (32 )     250       114       27  
Other   66     153       253       (57 )     (74 )     246       732  

Total other income   79     415       43       (81 )     84       375       74  

 

56


 

      

Note 6 Personnel Expenses

                                                         
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Salaries and bonuses   3,385     3,606       3,360       (6 )     1       10,258       11,256  
Contractors   137     139       151       (1 )     (9 )     410       429  
Insurance and social contributions   280     224       234       25       20       720       757  
Contribution to retirement plans   172     196       174       (12 )     (1 )     571       516  
Other personnel expenses   398     454       492       (12 )     (19 )     1,234       1,545  

Total personnel expenses   4,372     4,619       4,411       (5 )     (1 )     13,193       14,503  

                                                         
Note 7 General and Administrative Expenses
                   
    Quarter ended     % change from     Year to date  
   
   
   
 
CHF million   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Occupancy   299     371       331       (19 )     (10 )     974       1,020  
Rent and maintenance of machines and equipment   189     169       187       12       1       532       516  
Telecommunications and postage   221     219       247       1       (11 )     659       783  
Administration   151     151       173       0       (13 )     445       616  
Marketing and public relations   83     104       100       (20 )     (17 )     276       335  
Travel and entertainment   124     126       133       (2 )     (7 )     368       440  
Professional fees   140     147       123       (5 )     14       396       409  
IT and other outsourcing   214     198       259       8       (17 )     610       781  
Other   1     115       167       (99 )     (99 )     159       332  

Total general and administrative expenses   1,422     1,600       1,720       (11 )     (17 )     4,419       5,232  

 

57


 

      

Notes to the Financial Statements
11 November 2003

 

Note 8 Earnings per Share (EPS) and Shares Outstanding

                                                           
      Quarter ended     % change from     Year to date  
     
   
   
 
Basic earnings (CHF million)   30.9.03     30.6.03     30.9.02     2Q03     3Q02     30.9.03     30.9.02  

Net profit   1,673     1,639       942       2       78       4,526       3,636  

 
      Quarter ended     % change from     Year to date  
     
   
   
 
Diluted earnings (CHF million)   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Net profit   1,673     1,639       942       2       78       4,526       3,636  
Less: Profit on own equity derivative contracts deemed dilutive     (8 )     0       (21 )             62       (2 )     (130 )

Net profit for diluted EPS   1,665     1,639       921       2       81       4,524       3,506  

 
      Quarter ended     % change from     Year to date  
     
   
   
 
Weighted average shares outstanding   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Weighted average shares outstanding   1,102,783,381     1,136,530,546       1,199,528,140       (3 )     (8 )     1,130,413,592       1,221,094,518  
Potentially dilutive ordinary shares resulting from options and warrants outstanding   30,614,016     19,428,459       11,281,744       58       171       20,617,036       14,379,115  

Weighted average shares outstanding for diluted EPS   1,133,397,397     1,155,959,005       1,210,809,884       (2 )     (6 )     1,151,030,628       1,235,473,633  

 
      Quarter ended     % change from     Year to date  
     
   
   
 
Earnings per share (CHF)   30.9.03     30.6.03       30.9.02       2Q03       3Q02       30.9.03       30.9.02  

Basic EPS   1.52     1.44       0.79       6       92       4.00       2.98  
Diluted EPS   1.47     1.42       0.76       4       93       3.93       2.84  

 
        As at     % change from                
   
   
                 
Shares outstanding   30.9.03     30.6.03       30.9.02       2Q03       3Q02                  

               
Total ordinary shares issued   1,182,486,491     1,258,031,067       1,254,852,158       (6 )     (6 )                
Second trading line treasury shares                                                        
  2002 first program             67,700,000       62,811,279                                  
  2002 second program             8,270,080                                          
  2003 program   42,940,000     11,270,000                                          
Other treasury shares   55,128,507     52,538,668       5,941,400       5       828                  

               
Total treasury shares   98,068,507     139,778,748       68,752,679       (30 )     43                  

               
Shares outstanding   1,084,417,984     1,118,252,319       1,186,099,479       (3 )     (9 )                

               

58


 

Note 9 Currency Translation Rates

The following table shows the principal rates used to translate the financial statements of foreign entities into Swiss francs:

                                                                         
    Spot rate     Average rate     Average rate  
    As at     Quarter ended     Year to date  
   
   
   
 
    30.9.03     30.6.03     31.12.02     30.9.02     30.9.03     30.6.03     30.9.02     30.9.03     30.9.02  

1 USD
  1.32     1.35       1.38       1.48     1.36     1.34       1.49     1.35     1.58  
1 EUR
  1.54     1.56       1.45       1.46     1.54     1.54       1.46     1.52     1.47  
1 GBP
  2.19     2.24       2.23       2.31     2.20     2.18       2.32     2.19     2.34  
100 JPY
  1.18     1.13       1.17       1.21     1.17     1.12       1.24     1.15     1.26  

59


 

      

UBS Registered Shares
11 November 2003

 

UBS Registered Shares

      

UBS ordinary shares are registered shares with a par value of CHF 0.80 per share. They are issued in the form of Global Registered Shares (GRS). A Global Registered Share is a security that provides direct and equal ownership for all shareholders. It can be traded and transferred across applicable borders without the need for conversion, with identical shares traded on different stock exchanges in different currencies. The share is listed on the Swiss (traded on virt-x), New York and Tokyo stock exchanges.

Ticker symbols

             
Trading exchange   Bloomberg   Reuters   Telekurs

virt-x   UBSN VX   UBSN.VX   UBSN, 380

New York Stock Exchange   UBS US   UBS.N   UBS, 65

Tokyo Stock Exchange   8657 JP   UBS.T   N16631, 106

Security identification codes

     

ISIN   CH0012032030

Valoren   1203203

Cusip   CINS H8920M855

UBS share price

(SHARE PRICE LINE GRAPH)

Note: For current share price refer to: www.ubs.com/quotes

 

60


 

      

Cautionary statement regarding
forward-looking statements

This communication contains statements that constitute “forward-looking statements”, including, but not limited to, statements relating to the implementation of strategic initiatives, such as the implementation of the European wealth management strategy, expansion of our corporate finance presence in the US and worldwide, and other statements relating to our future business development and economic performance.
While these forward-looking statements represent our judgments and future expectations concerning the development of our business, a number of risks, uncertainties and other important factors could cause actual developments and results to differ materially from our expectations.
These factors include, but are not limited to, (1) general market, macro-economic, governmental and regulatory trends, (2) movements in local and international securities markets, currency exchange rates and interest rates, (3) competitive pressures, (4) technological developments, (5) changes in the financial position or credit-worthiness of our customers, obligors and counterparties and developments in the markets in which they operate, (6) legislative developments, (7) management changes and changes to our business group structure in 2001, 2002 and 2003 and (8) other key factors that we have indicated could adversely affect our business and financial performance which are contained in other parts of this document and in our past and future filings and reports, including those filed with the SEC.
More detailed information about those factors is set forth elsewhere in this document and in documents furnished by UBS and filings made by UBS with the SEC, including UBS’s Annual Report on Form 20-F for the year ended 31 December 2002. UBS is not under any obligation to (and expressly disclaims any such obligations to) update or alter its forward-looking statements whether as a result of new information, future events, or otherwise.

Imprint

Publisher/Copyright: UBS AG, Switzerland.
Language: English.
SAP-No. 80834E-0304

      

 

 


 

(UBS Logo)

   

   

  UBS AG
P.O. Box, CH-8098 Zurich
P.O. Box, CH-4002 Basel

  www.ubs.com

 


 

INCORPORATION BY REFERENCE

     This Form 6-K is hereby incorporated by reference into each prospectus currently outstanding under the registration statements of UBS AG on Form F-1 (Registration Numbers 333-52832; 333-52832-01 to –03; 333-46216; 333-46216-01 and –02; and 333-46930), Form F-3 (Registration Numbers 333-64844; 333-62448; 333-62448-01 to –04) and Form S-8 (Registration Numbers 333-57878; 333-50320; 333-49216; 333-49214; 333-49212; 333-49210; and 333-103956), and the registration statement of Corporate Asset Backed Corporation on Form S-3 (Registration Number 333-61522), and into any outstanding offering circular that incorporates by reference any Form 6-K’s of UBS AG that are incorporated into its registration statements filed with the SEC.

 


 

SIGNATURES

     Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

         
    UBS AG
         
    By:   /s/ Robert Dinerstein
       
    Name:   Robert Dinerstein
    Title   Managing Director
         
    By:   /s/ Robert Mills
       
    Name:   Robert Mills
    Title:   Managing Director
Date:  November 11, 2003        

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