Consolidated Statement of Changes in Equity in 2023 Results Enlarge table (XLSX:) Download Consolidated Statement of Changes in Equity in 20231 In EUR mn Share capital Capital reserves Hybrid capital Revenue reserves Currency translation differences Hedges Share of other compr. income of equity-accounted investments Treasury shares Equity of stockholders of the parent Non-controlling interests Total equity January 1, 2023 327 1,517 2,483 15,076 –370 200 –82 –2 19,149 7,478 26,628 Net income for the year — — — 1,551 — — — — 1,551 366 1,917 Other comprehensive income for the year — — — –46 –474 –223 1 — –743 –150 –893 Total comprehensive income for the year — — — 1,505 –474 –223 1 — 808 216 1,025 Dividend distribution and hybrid coupon — — — –1,746 — — — — –1,746 –609 –2,355 Share-based payments — 3 — — — — — 1 3 — 3 Increase (+)/decrease (–) in non-controlling interests — — — — — — — — — 36 36 Reclassification of cash flow hedges to balance sheet — — — — — 23 — — 23 9 32 December 31, 2023 327 1,520 2,483 14,835 –844 –0 –81 –2 18,238 7,131 25,369 1 See Note 23 – Equity of stockholders of the parent and Note 24 – Non-controlling interests Enlarge table (XLSX:) Download Consolidated Statement of Changes in Equity in 20221 In EUR mn Share capital Capital reserves Hybrid capital Revenue reserves Currency translation differences Hedges Share of other compr. income of equity-accounted investments Treasury shares Equity of stockholders of the parent Non-controlling interests Total equity January 1, 2022 327 1,514 2,483 12,008 –910 173 –86 –3 15,505 6,491 21,996 Net income for the year — — — 3,705 — — — — 3,705 1,470 5,175 Other comprehensive income for the year — — — 206 543 –6 4 — 746 71 817 Total comprehensive income for the year — — — 3,911 543 –6 4 — 4,451 1,540 5,992 Dividend distribution and hybrid coupon — — — –847 — — — — –847 –621 –1,467 Share-based payments — 4 — — — — — 1 4 — 4 Increase (+)/decrease (–) in non-controlling interests — — — 5 –2 — — — 3 45 48 Reclassification of cash flow hedges to balance sheet — — — — — 33 — — 33 23 56 December 31, 2022 327 1,517 2,483 15,076 –370 200 –82 –2 19,149 7,478 26,628 1 See Note 23 – Equity of stockholders of the parent and Note 24 – Non-controlling interests Consolidated Statement of Financial Position as of December 31, 2023Consolidated Statement of Cash Flows for 2023