v3.26.1
Condensed consolidated statement of financial position - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
Non-current assets      
Property, plant and equipment $ 13,615 $ 12,962 $ 11,637
Right-of-use assets 2,685 1,741 1,592
Goodwill 21,181 21,242 21,222
Intangible assets 37,723 37,846 37,925
Investments in associates and joint ventures 297 302 276
Other investments 2,619 2,223 1,863
Derivative financial instruments 394 498 509
Other receivables 1,351 1,327 1,066
Income tax receivable 1,516 1,391 1,137
Deferred tax assets 6,487 5,819 6,256
Total non-current assets 87,868 85,351 83,483
Current assets      
Inventories 6,932 6,557 6,467
Trade and other receivables 14,330 15,177 14,168
Other investments 75 30 50
Derivative financial instruments 76 90 95
Intangible assets     100
Income tax receivable 1,659 1,158 1,001
Cash and cash equivalents 4,893 5,711 7,058
Total current assets 27,965 28,723 28,939
Total assets 115,833 114,074 112,422
Current liabilities      
Interest-bearing loans and borrowings (5,808) (3,104) (6,492)
Lease liabilities (426) (382) (361)
Trade and other payables (22,893) (25,280) (23,986)
Derivative financial instruments (108) (81) (100)
Provisions (850) (686) (1,168)
Income tax payable (1,468) (1,084) (1,429)
Total current liabilities (31,553) (30,617) (33,536)
Non-current liabilities      
Interest-bearing loans and borrowings (23,683) (24,715) (24,714)
Lease liabilities (2,322) (1,421) (1,272)
Derivative financial instruments (3)    
Deferred tax liabilities (3,463) (3,500) (3,615)
Retirement benefit obligations (852) (1,105) (1,418)
Provisions (967) (918) (972)
Income tax payable (649) (700) (485)
Other payables (1,971) (2,379) (1,600)
Total non-current liabilities (33,910) (34,738) (34,076)
Total liabilities (65,463) (65,355) (67,612)
Net assets 50,370 48,719 44,810
Equity      
Share capital 388 388 388
Share premium account 35,282 35,266 35,238
Other reserves 2,033 2,041 2,070
Retained earnings 12,592 10,972 7,023
Capital and reserves attributable to equity holders of the Parent 50,295 48,667 44,719
Non-controlling interests 75 52 91
Total equity $ 50,370 $ 48,719 $ 44,810