| XLS |
|
Jan.–Sep. 2010 |
Jan.–Sep. 2009 |
||||
EUR million |
Before |
Tax |
Net-of-tax |
Before |
Tax |
Net-of-tax |
Profit |
792.2 |
–196.2 |
596.0 |
433.0 |
–114.8 |
318.2 |
Gains /losses arising on remeasuring available-for-sale financial assets |
–2.0 |
0.3 |
–1.7 |
24.1 |
–1.7 |
22.4 |
Effective portion of gains/losses on hedging instruments in a cash flow hedge |
–56.6 |
10.2 |
–46.4 |
12.8 |
–2.0 |
10.8 |
Actuarial gains and losses from defined benefit pension commitments and similar obligations |
–93.6 |
18.3 |
–75.3 |
–88.6 |
16.5 |
–72.1 |
Exchange differences on translating foreign operations |
778.0 |
– |
778.0 |
–157.0 |
– |
–157.0 |
Gains/losses recognized immediately in equity |
625.8 |
28.8 |
654.6 |
–208.7 |
12.8 |
–195.9 |
Comprehensive income |
1,418.0 |
–167.4 |
1,250.6 |
224.3 |
–102.0 |
122.3 |
of which attributable to shareholders of the Group |
|
|
1,235.2 |
|
|
117.3 |
of which attributable to non-controlling interest |
|
|
15.4 |
|
|
5.0 |
