Full text: Jahresbericht 2006 (2006)

52 
II. Bil anz per 31. Deze mber 2006 
Aktiv en 2006 2005 
CHF CHF 
Kasse 80   263.90 132 746.25 
Postscheck 2  114   828.33 2442725.98 
Bank3  788   354.35 1094302.30 
F estgeld 0.00 1500000.00 
Darlehen 30   000.00 30 000.00 
Debitor en Kunden 523   542.27 179 429.98 
Debitor en Mitglieder 316   766.00 428 865.00 
Verrechnungssteuer 14   741.37 9 625.87 
Kunstbestand, Mobiliar, Geräte, Warenbestand 1.00 1.00 
T rans itorische Aktiven 1  172   357.55 948 649.79 
Total Akt iven 8  040   854.77 6766346.17
	        
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