Consolidated statement of comprehensive income
Consolidated statement of comprehensive income
TEUR
Disclosure | 2025 | 2024 | ||
|---|---|---|---|---|
Group profit/loss of the year | 169,320 | 64,374 | ||
+/− | Cash flow hedges | 3,286 | −1,787 | |
+/− | Deferred taxes recognized in other comprehensive income | −773 | 390 | |
+/− | Effects from foreign currency translation | −2,897 | 1,404 | |
Items that are reclassified to the statement of profit or loss | −384 | 7 | ||
+/− | Actuarial gains and losses | 881 | 71 | |
+/− | Deferred taxes recognized in other comprehensive income | −686 | 9 | |
Items that are not reclassified to the statement of profit or loss | 195 | 80 | ||
= | Other comprehensive income net of tax | −189 | 87 | |
Total comprehensive income | 169,131 | 64,461 | ||
of which assignable to owners of the company | 169,131 | 64,460 | ||
of which assignable to non-controlling interests | 0 | 1 |