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Consolidated statement of changes in equity

For the year ended 31 December 2021; amounts in € million

   

Reserve

 
 

Fund equity

General paid-in surplus

Property reserve

Derivatives

Legal

Other reserve

Total equity

Balance at 1 January 2020

35

2,040

2,399

(6)

8

1,546

6,022

        

Profit for the year

-

-

241

-

-

225

466

Other comprehensive income

-

-

-

1

-

-

1

Total comprehensive income

-

-

241

1

-

225

467

        

Realised from property sales

-

-

(5)

-

-

5

-

Distribution paid

-

(195)

-

-

-

-

(195)

        

Balance at 31 December 2020

35

1,845

2,635

(5)

8

1,776

6,294

        

Profit for the year

-

-

1,158

-

(1)

287

1,444

Other comprehensive income

-

-

-

1

-

-

1

Total comprehensive income

-

-

1,158

1

(1)

287

1,445

        

Realised from property sales

-

-

(33)

-

-

33

-

Distribution paid

-

(186)

-

-

-

-

(186)

        

Balance at 31 December 2021

35

1,659

3,760

(4)

7

2,096

7,553

Other comprehensive income may be recognised as profit or loss in future periods.