Start > Financial Data > Financial statement > Consolidated Statement of changes in equity
Page tools

Consolidated Statement of changes in equity

(a) 2014

NoteShare capital (face value)Revaluation of share capitalTotal share capitalShare premiumShare-based payments reserveFinancial instruments revaluation reserveOther capitalRetained earningsCapital attributable to non-controlling interestsTotal equity
Balance as at 01.01.2014 441 443 146 575 588 018 3 632 464 1 144 336 45 185 (20 664) 6 080 187 19 321 11 488 847
Net profit/(loss) for the reporting period - - - - - - - 908 319 803 909 122
Net other comprehensive income - - - - - (11 568) - (77 238) - (88 806)
Total comprehensive income for the period - - - - - (11 568) - 831 081 803 820 316
Settlement of the share-based payment program 24 - - - - (1 144 336) - - 1 144 336 - -
Dividends 41 - - - - - - - (251 622) - (251 622)
Expiration of put option regarding redemption of non-controlling interests in subsidiaries - - - - - - 20 664 - - 20 664
Put option for non-controlling interests in acquired subsidiary - - - - - - (45 883) - - (45 883)
Acquisition of subsidiary - - - - - - - - 29 524 29 524
Other - - - - - 1 160 - 1 007 - 2 167
Balance as at 31.12.2014 441 443 146 575 588 018 3 632 464 - 34 777 (45 883) 7 804 989 49 648 12 064 013

(b) 2013

Share capital (face value)Revaluation of share capitalTotal
share
capital
Share
premium
Share-based payments reserveFinancial instruments revaluation reserveOther
capital
Retained earningsCapital attributable to non-controlling interestsTotal
equity
Balance as at 01.01.20131) 441 443 146 575 588 018 3 632 464 1 144 336 50 233 (21 317) 5 491 335 22 721 10 907 790
Net profit/(loss) for the reporting period 2) - - - - - - - 722 524 (4) 722 520
Net other comprehensive income - - - - - (5 048) - 22 138 - 17 090
Total comprehensive income for the period - - - - - (5 048) - 744 662 (4) 739 610
Dividends 42 - - - - - - - (158 919) - (158 919)
Acquisition of non-controlling interests in subsidiaries - - - - - - 653 3 109 (3 396) 366
Balance as at 31.12.2013 441 443 146 575 588 018 3 632 464 1 144 336 45 185 (20 664) 6 080 187 19 321 11 488 847

1) Restatement of comparative figures as at 1 January 2013 was presented in the consolidated financial statements as at 31 December 2013

2) Restatements of comparative figures are presented in Note 3 to these consolidated financial statements