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Consolidated income statement

Milions of euroNotes
20182017
of which with
related parties
of which with
related parties
Revenue
Revenue from sales and services8.a 73,1345,38772,6645,124
Other revenue and income8.b2,538381,97522
[Subtotal]75,67274,639
Costs
Electricity, gas and fuel purchases9.a35,7287,73736,0397,761
Services and other materials 9.b18,8702,64417,9822,664
Personnel 9.c4,5814,504
Net impairment/(reversals) of trade receivables and other receivables9.d1,096
Depreciation, amortization and other impairment losses 9.e5,3555,861
Other operating expenses 9.f2,8892722,886531
Capitalized costs9.g(2,264)(1,847)
[Subtotal]66,25565,425
Net income/(expense) from commodity contracts measured at fair value104831057827
Operating income9,9009,792
Financial income from derivatives111,9931,611
Other financial income 121,715592,37118
Financial expense from derivatives111,5322,766
Other financial expense124,392553,90825
Net income/(expense) from hyperinflation11,12168-
Share of income/(losses) of equity investments accounted for using the equity method13349111
Income before taxes8,2017,211
Income taxes141,8511,882
Net income from continuing operations6,3505,329
Net income from discontinued operations --
Net income for the year (shareholders of the Parent Company and non-controlling interests)6,3505,329
Attributable to shareholders of the Parent Company144,7893,779
Attributable to non-controlling interests141,5611,550
Basic earnings/(loss) per share attributable to shareholders of the Parent Company (euro)140.470.37
Diluted earnings/(loss) per share attributable to shareholders of the Parent Company (euro)140.470.37
Basic earnings/(loss) per share from continuing operations attributable to shareholders of the Parent Company (euro)0.470.37
Diluted earnings/(loss) per share from continuing operations attributable to shareholders of the Parent Company (euro)0.470.37

Milions of euroNotes
20182017
Net income for the year6,3505,329
Other comprehensive income recyclable to profit or loss (net of taxes)
Effective portion of change in the fair value of cash flow hedges(552)(204)
Change in the fair value of hedging costs83132
Share of the other comprehensive income of equity investments accounted for using the equity method(57)10
Change in the fair value of financial assets at FVOCI(3)(129)
Change in translation reserve(1,287)(2,519)
Other comprehensive income not recyclable to profit or loss (net of taxes)
Remeasurement of net liabilities/(assets) for employee benefits(120)74
Change in the fair value of equity investments in other entities12-
Total other comprehensive income/(loss) for the year34(1,924) (2,636)
Total comprehensive income/(loss) for the year4,4262,693
Attributable to:
- shareholders of the Parent Company3,6671,968
- non-controlling interests759725