4.2.4Consolidated Statement of Changes in Equity

in millions of US$

Notes

Issued share capital

Share premium reserve

Treasury shares

Retained earnings

Other reserves

Attributable to shareholders

Non-controlling interests

Total Equity

At 1 January 2024

50

1,007

(26)

2,478

224

3,733

1,797

5,531

Profit/(loss) for the period

-

-

-

150

-

150

61

211

Foreign currency translation

(3)

-

2

0

34

33

2

35

Remeasurements of defined benefit provisions

-

-

-

-

0

0

-

0

Cash flow hedges

-

-

-

-

(153)

(153)

57

(96)

Deferred tax on cash flow hedges

-

-

-

-

22

22

(8)

14

Total comprehensive income for the period

(3)

-

2

150

(97)

52

111

163

IFRS 2 vesting cost of share-based payments

-

-

-

-

21

21

-

21

Re-issuance treasury shares on the share-based scheme

(0)

-

25

0

(19)

5

-

5

Purchase of treasury shares

-

-

(102)

-

-

(102)

-

(102)

Share cancellation

4.3.22

(1)

-

70

(69)

-

0

-

0

Cash dividend

-

-

-

(150)

-

(150)

(99)

(249)

Acquisition of subsidiaries

4.3.30 / 4.3.31

-

-

-

-

-

-

178

178

Transaction with non-controlling interests

4.3.25 / 4.3.30

-

-

-

82

(21)

61

238

299

At 31 December 2024

46

1,007

(31)

2,489

108

3,619

2,225

5,844

in millions of US$

Notes

Issued share capital

Share premium reserve

Treasury shares

Retained earnings

Other reserves

Attributable to shareholders

Non-controlling interests

Total Equity

At 1 January 2023

48

1,007

(42)

2,179

204

3,397

1,517

4,914

Profit/(loss) for the period

-

-

-

491

-

491

123

614

Foreign currency translation

2

-

(1)

-

(2)

(1)

(1)

(2)

Remeasurements of defined benefit provisions

-

-

-

-

(4)

(4)

-

(4)

Cash flow hedges

-

-

-

-

68

68

(5)

62

Deferred tax on cash flow hedges

-

-

-

-

(45)

(45)

(12)

(57)

Total comprehensive income for the period

2

-

(1)

491

17

509

106

615

IFRS 2 vesting cost of share-based payments

-

-

-

-

20

20

-

20

Re-issuance treasury shares on the share-based scheme

-

-

21

(2)

(16)

4

-

4

Purchase of treasury shares

-

-

(5)

-

-

(5)

-

(5)

Cash dividend

-

-

-

(197)

-

(197)

(81)

(278)

Transaction with non-controlling interests

4.3.31

-

-

-

6

-

6

255

261

At 31 December 2023

50

1,007

(26)

2,478

224

3,733

1,797

5,531