Consolidated statement of comprehensive income

Second quarter

 

January-June

2015

2016

in € millions

2015

2016

358

339

Profit for the period

536

602

 

 

 

 

 

Other comprehensive income

(176)

10

Exchange differences arising on translation of foreign operations

414

(176)

(4)

33

Cash flow hedges

(5)

17

(338)

(31)

Post-retirement benefits

(638)

(70)

(6)

152

Tax relating to components of other comprehensive income

155

(524)

164

Other comprehensive income for the period (net of tax)

(229)

(74)

(166)

503

Comprehensive income for the period

307

528

 

 

 

 

 

Comprehensive income for the period attributable to

(169)

475

Shareholders of the company

231

487

3

28

Non-controlling interests

76

41

(166)

503

Comprehensive income for the period

307

528