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CONSOLIDATED PROFIT AND LOSS ACCOUNT - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Statement      
Sales from operations € 93,717 € 132,512 € 76,575
Other income and revenues 1,099 1,175 1,196
REVENUES AND OTHER INCOME 94,816 133,687 77,771
Purchases, services and other (73,836) (102,529) (55,549)
Net (impairments) reversals of trade and other receivables (249) 47 (279)
Payroll and related costs (3,136) (3,015) (2,888)
Other operating income (expense) 478 (1,736) 903
Depreciation and amortization (7,479) (7,205) (7,063)
Net (impairments) reversals of tangible, intangible and right-of-use assets (1,802) (1,140) (167)
Write-off of tangible and intangible assets (535) (599) (387)
OPERATING PROFIT (LOSS) 8,257 17,510 12,341
Finance income 7,417 8,450 3,723
Finance expense (8,113) (9,333) (4,216)
Net finance income (expense) from financial assets at fair value through profit or loss 284 (55) 11
Derivative financial instruments (61) 13 (306)
FINANCE INCOME (EXPENSE) (473) (925) (788)
Share of profit (loss) from equity-accounted investments 1,336 1,841 (1,091)
Other gain (loss) from investments 1,108 3,623 223
INCOME (EXPENSE) FROM INVESTMENTS 2,444 5,464 (868)
PROFIT (LOSS) BEFORE INCOME TAXES 10,228 22,049 10,685
Income taxes (5,368) (8,088) (4,845)
PROFIT (LOSS) 4,860 13,961 5,840
Attributable to Eni 4,771 13,887 5,821
Attributable to non-controlling interest € 89 € 74 € 19
Earnings per share (€ per share)      
Basic € 1.41 € 3.96 € 1.61
Diluted € 1.4 € 3.95 € 1.6
Related parties      
Statement      
Sales from operations € 4,322 € 10,872 € 3,000
Other income and revenues 156 156 52
Purchases, services and other (15,885) (15,327) (8,644)
Net (impairments) reversals of trade and other receivables 5 (2) (6)
Payroll and related costs (8) (18) (21)
Other operating income (expense) 17 3,306 735
Finance income 155 160 79
Finance expense (28) (164) € (46)
Derivative financial instruments 1 2  
Other gain (loss) from investments € 445 € 30