v3.26.1
Condensed Group Statement of Changes in Equity - USD ($)
$ in Millions
Share capital
Share premium
Capital redemption reserve
Treasury shares
Other reserves
[1]
Retained earnings
[2]
Total
Balance at beginning of period at Dec. 31, 2024 $ 175 $ 615 $ 20 $ (66) $ (497) $ 5,018 $ 5,265
Attributable profit for the period [3]           293 293
Other comprehensive income [3]         150 2 152
Total comprehensive income for the period         150 295 445 [3]
Equity dividends declared and paid           (202) (202)
Share-based payments recognised           21 21
Taxation on share-based payments           6 6
Cost of shares transferred to beneficiaries       18   (17) 1
Balance at end of period at Jun. 28, 2025 175 615 20 (48) (347) 5,121 5,536
Balance at beginning of period at Dec. 31, 2025 175 615 20 (515) (329) 5,323 5,289
Attributable profit for the period [3]           303 303
Other comprehensive income [3]         2 (1) 1
Total comprehensive income for the period         2 302 304 [3]
Equity dividends declared and paid           (205) (205)
Share-based payments recognised           34 34
Taxation on share-based payments           5 5
Purchase of own shares [1]       (250)     (250)
Cost of shares transferred to beneficiaries       32   (29) 3
Balance at end of period at Jun. 27, 2026 $ 175 $ 615 $ 20 $ (733) $ (327) $ 5,430 $ 5,180
[1] Refer to Note 8 for further information.
[2] Within retained earnings is a non-distributable capital reserve of $2,266m (1 January 2026: $2,266m, 28 June 2025: $2,266m) which arose as a result of the Group’s reorganisation in 2008.
[3] Attributable to the equity holders of the parent and wholly derived from continuing operations.