Consolidated statement of comprehensive income
TEUR
Disclosure | 2023 | 2022 | ||
---|---|---|---|---|
Group profit/loss of the year | 25,348 | –58,794 | ||
+/– | Cash flow hedges | VII.16 | –2,595 | 3,055 |
+/– | Deferred taxes not affecting profit or loss | VII.6 | 471 | –601 |
+/– | Effects from foreign currency translation | –757 | 1,267 | |
Items that are reclassified to the statement of profit or loss | –2,881 | 3,721 | ||
+/– | Actuarial profit or loss | VII.17 | –2,023 | 7,776 |
+/– | Deferred taxes not affecting profit or loss | VII.6 | 563 | –2,163 |
Items that are not reclassified to the statement of profit or loss | –1,460 | 5,613 | ||
= | Other comprehensive income net of tax | –4,341 | 9,334 | |
Total comprehensive income | 21,007 | –49,460 | ||
of which assignable to owners of the company | 21,006 | –49,460 | ||
of which assignable to non-controlling interests | 1 | 0 |