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CONSOLIDATED STATEMENT OF CHANGES IN EQUITY - EUR (€)
€ in Millions
Total
Share capital
Retained earnings
Cumulative currency translation differences
Other reserves and equity instruments
Treasury shares
Profit (loss) for the year
Total
Non-controlling interests
Balance at Dec. 31, 2020 € 37,493 € 4,005 € 34,043 € 3,895 € 4,688 € (581) € (8,635) € 37,415 € 78
Profit for the year 5,840           5,821 5,821 19
Items that are not reclassified to profit or loss in later periods                  
Remeasurements of defined benefit plans net of tax effect 42       42     42  
Share of "Other comprehensive income (loss)" on equity-accounted investments related to benefit plans remeasurements 2       2     2  
Change of minor investments measured at fair value with effects to OCI 105       105     105  
Items that are not reclassified to profit or loss in later periods 149       149     149  
Items that may be reclassified to profit or loss in later periods                  
Currency translation differences 2,828     2,828       2,828  
Change in the fair value of cash flow hedge derivatives net of tax effect (892)       (892)     (892)  
Share of "Other comprehensive income (loss)" on equity-accounted investments (34)       (34)     (34)  
Items that may be reclassified to profit or loss in later periods 1,902     2,828 (926)     1,902  
Total comprehensive income (loss) of the year 7,891     2,828 (777)   5,821 7,872 19
Dividend distribution of Eni SpA (857)   429       (1,286) (857)  
Interim dividend distribution of Eni SpA (1,533)   (1,533)         (1,533)  
Dividend distribution of other companies (5)               (5)
Allocation of profit (loss)     (9,921)       9,921    
Purchase of treasury shares (400)   (400)   400 (400)   (400)  
Long-term share-based incentive plan 16   16   (23) 23   16  
Increase in non-controlling interest relating to acquisition of consolidated entities (11)               (11)
Issue of perpetual subordinated bonds 2,000       2,000     2,000  
Coupon payment on perpetual subordinated bonds (61)   (61)         (61)  
Transactions with holders of equity instruments (851)   (11,470)   2,377 (377) 8,635 (835) (16)
Costs for the issue of perpetual subordinated bonds (15)   (15)         (15)  
Other changes 1   192 (193) 1       1
Other changes in equity (14)   177 (193) 1     (15) 1
Balance at Dec. 31, 2021 44,519 4,005 22,750 6,530 6,289 (958) 5,821 44,437 82
Profit for the year 13,961           13,887 13,887 74
Items that are not reclassified to profit or loss in later periods                  
Remeasurements of defined benefit plans net of tax effect 55       55     55  
Share of "Other comprehensive income (loss)" on equity-accounted investments related to benefit plans remeasurements 3       3     3  
Change of minor investments measured at fair value with effects to OCI 56       56     56  
Items that are not reclassified to profit or loss in later periods 114       114     114  
Items that may be reclassified to profit or loss in later periods                  
Currency translation differences 1,095     1,093 1     1,094 1
Change in the fair value of cash flow hedge derivatives net of tax effect 560       560     560  
Share of "Other comprehensive income (loss)" on equity-accounted investments (12)       (12)     (12)  
Items that may be reclassified to profit or loss in later periods 1,643     1,093 549     1,642 1
Total comprehensive income (loss) of the year 15,718     1,093 663   13,887 15,643 75
Dividend distribution of Eni SpA (1,522)           (1,522) (1,522)  
Interim dividend distribution of Eni SpA (1,500)   (1,500)         (1,500)  
Dividend distribution of other companies (60)               (60)
Allocation of profit (loss)     4,299       (4,299)    
Capital contribution by non-controlling interests 92               92
Purchase of treasury shares (2,400)   (2,400)   2,400 (2,400)   (2,400)  
Cancellation of treasury shares         (400) 400      
Long-term share-based incentive plan 18   18   (21) 21   18  
Coupon payment on perpetual subordinated bonds (138)   (138)         (138)  
Change in non‐controlling interest 477   196         196 281
Transactions with holders of equity instruments (5,033)   475   1,979 (1,979) (5,821) (5,346) 313
Other changes 26   230 (59) (146)     25 1
Other changes in equity 26   230 (59) (146)     25 1
Balance at Dec. 31, 2022 55,230 4,005 23,455 7,564 8,785 (2,937) 13,887 54,759 471
Profit for the year 4,860           4,771 4,771 89
Items that are not reclassified to profit or loss in later periods                  
Remeasurements of defined benefit plans net of tax effect (21)       (21)     (21)  
Share of "Other comprehensive income (loss)" on equity-accounted investments related to benefit plans remeasurements (2)       (2)     (2)  
Change of minor investments measured at fair value with effects to OCI 45       45     45  
Items that are not reclassified to profit or loss in later periods 22       22     22  
Items that may be reclassified to profit or loss in later periods                  
Currency translation differences (2,010)     (2,001) (9)     (2,010)  
Change in the fair value of cash flow hedge derivatives net of tax effect 383       383     383  
Share of "Other comprehensive income (loss)" on equity-accounted investments 54       54     54  
Items that may be reclassified to profit or loss in later periods (1,573)     (2,001) 428     (1,573)  
Total comprehensive income (loss) of the year 3,309     (2,001) 450   4,771 3,220 89
Dividend distribution of Eni SpA (3,005)   (3,005)         (3,005)  
Dividend distribution of other companies (36)               (36)
Allocation of profit (loss)     13,887       (13,887)    
Reimbursement to non-controlling interests (16)               (16)
Purchase of treasury shares (1,837)   (1,837)   1,837 (1,837)   (1,837)  
Cancellation of treasury shares 2,400       (2,400) 2,400      
Long-term share-based incentive plan 20   20   (41) 41   20  
Coupon payment on perpetual subordinated bonds (138)   (138)         (138)  
Change in non‐controlling interest     47         47 (47)
Transactions with holders of equity instruments (5,012)   8,974   (604) 604 (13,887) (4,913) (99)
Effect of the issue of convertible bonds 79       79     79  
Other changes 38   559 (325) (195)     39 (1)
Other changes in equity 117   559 (325) (116)     118 (1)
Balance at Dec. 31, 2023 € 53,644 € 4,005 € 32,988 € 5,238 € 8,515 € (2,333) € 4,771 € 53,184 € 460