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Equity (Tables)
12 Months Ended
Dec. 31, 2023
Equity [abstract]  
Reconciliation of number of shares outstanding
Number of shares 000s
2023
2022
2021
1 January
5 587 016
5 634 993
5 617 496
Settlement of share-based
payments
16 886
15 986
17 497
Acquisition of treasury shares
(78 301)
(63 963)
31 December
5 525 601
5 587 016
5 634 993
Schedule of translation differences, fair value and other reserves
Fair value and other reserves
EURm
Translation
differences(1)
Pension
remeasurements
Hedging reserve
Cost of hedging
reserve
Fair value
reserve
1 January 2021
(1 295)
1 940
2
(10)
(22)
Foreign exchange translation differences
1 162
Net investment hedging losses
(249)
Remeasurements of defined benefit plans
2 302
Net fair value (losses)/gains
(15)
5
(25)
Transfer to income statement
(7)
6
4
32
Movement attributable to non-controlling interests
(7)
31 December 2021
(396)
4 242
(7)
(1)
(15)
Foreign exchange translation differences
697
Net investment hedging losses
(147)
Remeasurements of defined benefit plans
(349)
Net fair value gains/(losses)
24
(27)
(208)
Transfer to income statement
14
61
10
175
Movement attributable to non-controlling interests
1
31 December 2022
169
3 893
78
(18)
(48)
Foreign exchange translation differences
(547)
Net investment hedging gains
105
3
Remeasurements of defined benefit plans
(261)
Net fair value gains/(losses)
2
(25)
(87)
Transfer to income statement
19
(66)
38
96
Movement attributable to non-controlling interests
5
31 December 2023
(249)
3 632
14
(2)
(39)
(1)At 31 December 2023 translation differences include a EUR 186 million gain related to net investment hedging (EUR 80 million gain in 2022 and EUR 226 million gain in 2021).