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E1 Equity (Tables)
12 Months Ended
Dec. 31, 2024
Equity [abstract]  
Summary of Capital Stock
Parent Company
  
Class A shares
    
Class B shares
    
Total 
December 31, 2024
     1,309        15,434      16,743 
December 31, 2023
     1,309        15,413      16,722 
Summary of Number of Shares
Number of shares
 
     
Class A shares
  
Class B shares 
  
Total 
2024
              
As of January 1    261,755,983    3,082,395,752     3,344,151,735 
As of December 31    261,755,983    3,086,495,752     3,348,251,735 
2023
              
As of January 1    261,755,983    3,072,395,752     3,334,151,735 
As of December 31    261,755,983    3,082,395,752     3,344,151,735 
Summary of Changes in OCI by Components of Equity
  
Translation
reserves
 
1)
 
 
 
Cash flow
hedge reserves
 
 
  
 Revaluation of
borrowings
  
 Retained
earnings
 
  Total equity
2024
            
Remeasurements of defined benefits pension plans
                         739        739  
Revaluation of credit risk on borrowings
                  –450              –450  
Cash flow hedge reserve
s
           –3,240                     –3,240  
Cash flow hedge reserve
s
reclassification to profit and loss
           725                     725  
Translation reserves changes
     6,608                           6,608  
Translation reserves reclassification to profit and loss
     73                           73  
Share of other comprehensive income of associates
     40                           40  
Movement attributable to non-controlling interests      –147                     –7       –154  
Total
  
6,574
 
–2,515
  
–450
  
732
 
4,341
2023
            
Remeasurements of defined benefits pension plans
                         655       655  
Revaluation of credit risk on borrowings
                  –530              –530  
Cash flow hedge reserve
s
           374                     374  
Cash flow hedge reserve
s
reclassification to profit and loss
           1,090                     1,090  
Translation reserves changes
     –2,425                           –2,425  
Translation reserves reclassification to profit and loss
     59                           59  
Share of other comprehensive income of associates
     –10                           –10  
Movement attributable to non-controlling interests      50                     –1       49  
Total
  
–2,326
 
1,464
  
–530
  
654
 
–738
2022
            
Remeasurements of defined benefits pension plans
                         8,561       8,561  
Revaluation of credit risk on borrowings
                  818              818  
Cash flow hedge reserve
s
           2,331                     2,331  
Cash flow hedge reserve
s
reclassification to profit and loss
           280                     280  
Cash flow hedge transfer to goodwill
           –3,677                     –3,677  
Translation reserve changes
     7,273                           7,273  
Translation reserve reclassification to profit and loss
     –85                           –85  
Share of other comprehensive income of associates
     49                           49  
Movement attributable to non-controlling interests      –143                     11       –132  
Total
  
7,094
 
–1,066
  
818
  
8,572
 
15,418
 
1)
 
Changes in translation reserves include changes regarding translation of goodwill in local currency of SEK 4,393 million (SEK –77 million in 2023 and SEK 5,070 million in 2022), and realized gains/losses net from divested/liquidated companies, SEK 73 million (SEK 59 million in 2023 and SEK –85 million in 2022).