in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
|
2023
|
2022
|
Change in %
|
---|---|---|---|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Group net profit
|
2023
1,832.6
|
2022
1,843.9
|
Change in %
-0.6
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Revaluation of pensions and similar obligations
|
2023
-534.3
|
2022
2,388.9
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Entities accounted for using the equity method
|
2023
0.8
|
2022
-0.1
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Income taxes on other comprehensive income
|
2023
151.4
|
2022
-610.0
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Total of other comprehensive income and expenses without future reclassifications impacting earnings
|
2023
-382.1
|
2022
1,778.8
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Currency translation differences
|
2023
-29.0
|
2022
66.1
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Cash flow hedge
|
2023
-1,179.3
|
2022
2,171.2
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Financial assets at fair value in equity
|
2023
200.6
|
2022
-232.4
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Entities accounted for using the equity method
|
2023
-2.8
|
2022
2.8
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Income taxes on other comprehensive income
|
2023
254.6
|
2022
-585.7
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Total of other comprehensive income and expenses with future reclassifications impacting earnings
|
2023
-755.9
|
2022
1,422.0
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Total other comprehensive income
|
2023
-1,138.0
|
2022
3,200.8
|
Change in %
–
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
Total comprehensive income
|
2023
694.6
|
2022
5,044.7
|
Change in %
-86.2
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
of which profit/loss shares attributable to non-controlling interests
|
2023
(144.1)
|
2022
(83.8)
|
Change in %
72.0
|
in € million0The figures for the previous year have been restated. The basis adjustments in inventories in cash flow hedge are no longer disclosed in total other comprehensive income. The figure for the previous year has been adjusted by the effect of the basis adjustments in the amount of €622.9 million and income tax in the amount of €–185.0 million. Further information can be found in the statement of changes in equity.0Further information is available in the notes under (20) "Equity."
of which profit/loss shares attributable to the shareholders of EnBW AG
|
2023
(550.5)
|
2022
(4,960.9)
|
Change in %
-88.9
|