XML 313 R4.htm IDEA: XBRL DOCUMENT v3.25.0.1
Group statement of changes in equity - USD ($)
$ in Millions
Total
Share Capital And Capital Reserve [Member]
Treasury shares [member]
Reserve of exchange differences on translation [member]
Total Reserve Of Available-For-Sale Securities And Cash Flow Hedges [Member]
Retained earnings [member]
Equity attributable to owners of parent [member]
Non-controlling interests, hybrid bonds [Member]
Non-controlling interests, other interest [Member]
Equity outstanding, beginning of period at Dec. 31, 2021 [1] $ 90,439 $ 46,871 $ (12,624) $ (9,572) $ (1,027) $ 51,815 $ 75,463 $ 13,041 $ 1,935
Profit (loss) for the year (1,357) [1] 0       (2,487) [1] (2,487) [1] 519 [1] 611 [1]
Other comprehensive income [1] 8,208     6,914 770 585 8,269   (61)
Total comprehensive income [1] 6,851     6,914 770 (1,902) 5,782 519 550
Dividends [1],[2] (4,659)         (4,365) (4,365)   (294)
Cash flow hedges transferred to the balance sheet, net of tax [1] (1)       (1)   (1)    
Issued capital, ordinary shares [1] 820 820         820    
Repurchase of ordinary share capital [1] (10,493)         (10,493) (10,493)    
Share-based payments, net of tax [1] 847 182 471     194 847    
Share of equity-accounted entities’ changes in equity, net of tax   182              
Issue of perpetual hybrid bonds [1] 370         (4) (4) 374  
Payments on issue of perpetual hybrid bonds [1] (529)     15     15 (544)  
Transactions involving non-controlling interests, net of tax [1] (657)         (513) (513)   (144)
Equity outstanding, end of period at Dec. 31, 2022 [1] 82,990 47,873 (12,153) (2,643) (256) 34,732 67,553 13,390 2,047
Profit (loss) for the year 15,880 [1] 0       15,239 [1] 15,239 [1] 586 [1] 55 [1]
Other comprehensive income [1] (511)     728 431 (1,696) (537)   26
Total comprehensive income [1] 15,369     728 431 13,543 14,702 586 81
Dividends [1],[2] (5,234)         (4,831) (4,831)   (403)
Cash flow hedges transferred to the balance sheet, net of tax [1] 1       1   1    
Repurchase of ordinary share capital (8,167) [1] 0       (8,167) [1] (8,167) [1]    
Share-based payments, net of tax [1] 669 140 830     (301) 669    
Share of equity-accounted entities’ changes in equity, net of tax [1] 1         1 1    
Issue of perpetual hybrid bonds [1] 175         (1) (1) 176  
Payments on issue of perpetual hybrid bonds [1] (591)     (5)     (5) (586)  
Transactions involving non-controlling interests, net of tax [1] 282         363 363   (81)
Equity outstanding, end of period at Dec. 31, 2023 [1] 85,493 48,013 (11,323) (1,920) 174 35,339 70,283 13,566 1,644
Profit (loss) for the year 1,229 [1] 0       381 [1] 381 [1] 641 [1] 207 [1]
Other comprehensive income [1] (461)     (276) (452) 354 (374)   (87)
Total comprehensive income [1] 768     (276) (452) 735 7 641 120
Dividends [1],[2] (5,393)         (5,018) (5,018)   (375)
Cash flow hedges transferred to the balance sheet, net of tax [1] 10       10   10    
Repurchase of ordinary share capital (7,302) [1] 0       (7,302) [1] (7,302) [1]    
Share-based payments, net of tax [1] 1,083 216 2,293     (1,426) 1,083    
Share of equity-accounted entities’ changes in equity, net of tax 0         0 0    
Issue of perpetual hybrid bonds [1] 4,330         (22) (22) 4,352  
Redemption of perpetual hybrid bonds, net of tax [1] (1,291)         9 9 (1,300)  
Payments on issue of perpetual hybrid bonds [1] (610)     0     0 (610)  
Transactions involving non-controlling interests, net of tax [1] 1,250         216 216   1,034
Equity outstanding, end of period at Dec. 31, 2024 [1] $ 78,318 $ 48,229 $ (9,030) $ (2,196) $ (288) $ 22,531 $ 59,246 $ 16,649 $ 2,423
[1] See Note 32 for further information.
[2] See Note 10 for further information.