v3.25.2
Group - Statement of Changes in Equity - USD ($)
$ in Millions
Total
Total
Share capital and premium
Reorganisation reserve
Other capital reserves
(Accumulated losses) Retained earnings
Fair value through OCI
Actuarial (losses) gains
Foreign currency translation reserve
[1]
Non-controlling interests
Equity at beginning of period at Dec. 31, 2023 $ 3,740 $ 3,711 $ 420 $ 6,815 $ 76 $ (2,148) $ (4) $ (2) $ (1,446) $ 29
Comprehensive income [abstract]                    
Profit (loss) for the period 321 311       311       10
Other comprehensive income (loss) (1) (1)         9   (10)  
Total comprehensive income (loss) for the period, net of tax 320 310       311 9   (10) 10
Shares issued 13 13 13              
Share-based payment for share awards net of exercised 2 2     2          
Dividends paid (80) (80)       (80)        
Equity at end of period at Jun. 30, 2024 3,995 3,956 433 6,815 78 (1,917) 5 (2) (1,456) 39
Equity at beginning of period at Dec. 31, 2024 8,513 6,629 526 8,811 80 (1,316) 19 1 (1,492) 1,884
Comprehensive income [abstract]                    
Profit (loss) for the period 1,348 1,112       1,112       236
Other comprehensive income (loss) 70 70         28 1 41  
Total comprehensive income (loss) for the period, net of tax 1,418 1,182       1,112 28 1 41 236
Shares issued 0 0 23   (23)          
Share-based payment for share awards net of exercised 16 16     16          
Dividends paid (411) (411)       (411)        
Dividends paid to non-controlling interests (245)                 (245)
Equity at end of period at Jun. 30, 2025 $ 9,291 $ 7,416 $ 549 $ 8,811 $ 73 $ (615) $ 47 $ 2 $ (1,451) $ 1,875
[1] Foreign currency translation reserve includes a loss of $1,411m (December 2024: $1,411m; June 2024: $1,411m) that will not re-cycle through the income statement,
and a loss of $40m (December 2024: $81m; June 2024: $45m) relating to foreign operations that will re-cycle through the income statement on disposal.