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Taxation - Summary of Tax Effects of Components of Other Comprehensive Income (Details) - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Before tax      
Equity instruments at fair value through other comprehensive income € (38) € 31  
Cash flow hedges (10) (121)  
Remeasurement of defined benefit pension plans (745) (537) € 2,405
Currency retranslation gains/(losses) (1,460) 547  
Other comprehensive income (2,253) (80)  
Tax (charge)/credit      
Equity instruments at fair value through other comprehensive income 10 5  
Cash flow hedges (17) 30  
Remeasurement of defined benefit pension plans 235 64  
Currency retranslation gains/(losses) (1) 67  
Other comprehensive income 227 166  
After tax      
Equity instruments at fair value through other comprehensive income (28) 36 166
Cash flow hedges (27) (91) 279
Remeasurement of defined benefit pension plans (510) (473) 1,734
Currency retranslation gains/(losses) (1,461) [1] 614 [2] € 1,177
Other comprehensive income € (2,026) € 86  
[1] Includes a hyperinflation adjustment of €308 million in relation to Argentina and Turkey.
[2] Includes a hyperinflation adjustment of €514 million in relation to Argentina and Turkey.