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Non-Controlling Interests - Summary of Financial Information of Material Non-controlling Interest (Detail) - USD ($)
$ in Millions
1 Months Ended 12 Months Ended
Jan. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Summarized statement of financial position information        
Current assets   $ 24,769 $ 22,999  
Non-current assets   194,039 183,637  
Current liabilities   34,475 33,066  
Non-current liabilities   86,596 84,871  
Equity attributable to equity holders   87,287 78,237  
Non-controlling interests   10,449 10,463  
Summarized income statement and comprehensive income information        
Revenue   59,320 59,768 $ 59,380
Net income   8,477 7,416 6,891
Attributable to:        
Equity holders   6,837 5,855 5,341
Net income   8,477 7,416 6,891
Other comprehensive income   6,726 (8,812) 3,876
Total comprehensive income $ (1,396) 15,203 (1,396) 10,767
Attributable to:        
Equity holders   13,397 (2,191) 9,739
Non-controlling interests   1,806 795 1,028
Summarized cash flow information        
Cash flow from operating activities   14,883 15,055 13,265
Cash flow from investing activities   (3,436) (3,259) (4,390)
Cash flow from financing activities   (11,450) (9,854) (8,560)
Ambev [member]        
Summarized statement of financial position information        
Current assets   7,951 8,746  
Non-current assets   18,394 17,498  
Current liabilities   8,264 7,976  
Non-current liabilities   1,947 2,186  
Equity attributable to equity holders   15,977 15,930  
Non-controlling interests   156 151  
Summarized income statement and comprehensive income information        
Revenue   15,751 16,678 15,920
Net income   2,854 2,768 2,987
Attributable to:        
Equity holders   2,767 2,692 2,895
Non-controlling interests   87 76 92
Net income   2,854 2,768 2,987
Other comprehensive income   (1,759) 1,677 (1,909)
Total comprehensive income   1,095 4,445 1,078
Attributable to:        
Equity holders   1,028 4,337 1,011
Non-controlling interests   66 108 67
Summarized cash flow information        
Cash flow from operating activities   4,364 4,866 4,934
Cash flow from investing activities   (884) (1,019) (1,151)
Cash flow from financing activities   (4,779) (1,930) (3,218)
Net increase/(decrease) in cash and cash equivalents   (1,298) 1,917 565
Budweiser APAC [Member]        
Summarized statement of financial position information        
Current assets   3,810 3,824  
Non-current assets   10,958 10,945  
Current liabilities   3,832 3,924  
Non-current liabilities   608 605  
Equity attributable to equity holders   10,262 10,184  
Non-controlling interests   66 56  
Summarized income statement and comprehensive income information        
Revenue   5,764 6,246 6,856
Net income   520 750 880
Attributable to:        
Equity holders   489 719 852
Non-controlling interests   31 31 28
Net income   520 750 880
Other comprehensive income   287 (694) (286)
Total comprehensive income   807 56 594
Attributable to:        
Equity holders   772 33 567
Non-controlling interests   35 23 27
Summarized cash flow information        
Cash flow from operating activities   951 1,135 1,811
Cash flow from investing activities   (324) (409) (447)
Cash flow from financing activities   (738) (903) (621)
Net increase/(decrease) in cash and cash equivalents   $ (111) $ (177) $ 743