1 CONSOLIDATED RESULT OF THE PERIOD |
2,497 |
2,295 |
Items that may be reclassified to profit and loss in future periods |
|
|
2.1 Foreign currency translation differences |
-45 |
-190 |
2.2 Net unrealized gains and losses on investments available for sale |
-2,322 |
108 |
2.3 Net unrealized gains and losses on cash flows hedging derivatives |
26 |
41 |
2.4 Net unrealized gains and losses on hedge of a net investment in foreign operations |
-4 |
17 |
2.5 Share of other comprehensive income of associates |
-18 |
-7 |
2.8 Result of discontinued operations |
-308 |
-196 |
2.10 Other |
|
0 |
Subtotal |
-2,670 |
-227 |
Items that may not be reclassified to profit and loss in future periods |
|
0 |
2.5 Share of other comprehensive income of associates |
0 |
0 |
2.8 Result of discontinued operations |
25 |
17 |
2.6 Reserve for revaluation model on intangible assets |
|
|
2.7 Reserve for revaluation model on tangible assets |
|
|
2.9 Actuarial gains or losses arising from defined benefit plans |
81 |
22 |
Subtotal |
106 |
39 |
2 OTHER COMPREHENSIVE INCOME |
-2,564 |
-189 |
3 TOTAL COMPREHENSIVE INCOME |
-66 |
2,107 |
attributable to the Group |
-208 |
2,010 |
attributable to minority interests |
141 |
97 |
Earnings per share (in €) |
-0.13 |
1.29 |
Diluted earnings per share (in €) |
-0.13 |
1.27 |