XML 287 R6.htm IDEA: XBRL DOCUMENT v3.25.0.1
Consolidated Statement Of Changes In Equity - USD ($)
$ in Millions
Total
Issued and fully paid shares [member]
Shares reserved for employee share plans [member]
Employee benefits reserve [member]
Foreign currency translation reserve [member]
Hedging reserve [member]
Distributable profits reserve [member]
Other reserves [member]
Retained earrings [member]
Equity holders of the parent [member]
Non-controlling interest [member]
Beginning balance at Dec. 31, 2021 $ 14,229 $ 9,409 $ (30) $ 232 $ 793 $ (400) $ 58   $ 3,381 $ 13,443 $ 786
Profit for the period 6,575               6,498 6,498 77
Other comprehensive loss (147)       3 (186)   $ 2 34 (147)  
Total comprehensive (loss)/income for the period 6,428       3 (186)   2 6,532 6,351 77
Transfers             5,553   (5,553)    
Shares purchased for Dividend Reinvestment Plan (144)   (144)             (144)  
Dividend Reinvestment Plan 476 332 144             476  
Shares issued for acquisition of BHPP 19,265 19,265               19,265  
Replacement employee share plan issued for acquisition of BHPP 18     18           18  
Employee share plan purchases (45)   (45)             (45)  
Employee share plan redemptions     37 (37)              
Share-based payments (net of tax) 65     65           65  
Dividends paid (3,160)           (2,070)   (1,018) (3,088) (72)
Transaction costs associated with the issue of shares (5) (5)               (5)  
Ending balance at Dec. 31, 2022 37,127 29,001 (38) 278 796 (586) 3,541 2 3,342 36,336 791
Profit for the period 1,722               1,660 1,660 62
Other comprehensive loss 655       (1) 674   (32) 14 655  
Total comprehensive (loss)/income for the period 2,377       (1) 674   (32) 1,674 2,315 62
Transfers             4,830   (4,830)    
Employee share plan purchases (57)   (57)             (57)  
Employee share plan redemptions     46 (46)              
Share-based payments (net of tax) 58     58           58  
Dividends paid (4,335)           (4,253)   0 (4,253) (82)
Ending balance at Dec. 31, 2023 35,170 29,001 (49) 290 795 88 4,118 (30) 186 34,399 771
Profit for the period 3,646               3,573 3,573 73
Other comprehensive loss (106)         (87)   (8) (11) (106)  
Total comprehensive (loss)/income for the period 3,540         (87)   (8) 3,562 3,467 73
Transfers             1,400   (1,400)    
Employee share plan purchases (81)   (81)             (81)  
Employee share plan redemptions     72 (72)              
Share-based payments (net of tax) 63     63           63  
Dividends paid (2,539)           (2,449)     (2,449) (90)
Ending balance at Dec. 31, 2024 $ 36,153 $ 29,001 $ (58) $ 281 $ 795 $ 1 $ 3,069 $ (38) $ 2,348 $ 35,399 $ 754