STATEMENT OF CHANGES IN EQUITY

Accumulated other equity
in € million Note Subscribed capital Capital reserves Revenue reserves Translation differences Marketable securities Derivative financial instruments Costs of hedging Treasury shares Equity attributable to shareholders of BMW AG Non-controlling interests Total
1 January 2023 31 663 2,432 85,425 – 584 – 107 1,728 – 1,154 – 1,278 87,125 4,163 91,288
Net profit 11,290 11,290 875 12,165
Other comprehensive income for the period after tax – 118 – 1,499 78 – 1,201 496 – 2,244 – 268 – 2,512
Comprehensive income at 31 December 2023 11,172 – 1,499 78 – 1,201 496 9,046 607 9,653
Dividend payments – 5,430 – 5,430 – 1,485 – 6,915
Treasury shares acquired   – 1,222 – 1,222 – 1,222
Treasury share redemption – 2,000 2,000
Reclassification resulting from share redemption – 24 24
Other changes – 95 172 77 42 119
31 December 2023 31 639 2,456 89,072 – 2,083 – 29 699 – 658 – 500 89,596 3,327 92,923
Accumulated other equity
in € million Note Subscribed capital Capital reserves Revenue reserves Translation differences Marketable securities Derivative financial instruments Costs of hedging Treasury shares Equity attributable to shareholders of BMW AG Non-controlling interests Total
1 January 2022 31 661 2,325 71,705 – 438 2 362 – 251 74,366 766 75,132
Net profit 17,941 17,941 641 18,582
Other comprehensive income for the period after tax 745 – 146 – 109 1,973 – 903 1,560 38 1,598
Comprehensive income at 31 December 2022 18,686 – 146 – 109 1,973 – 903 19,501 679 20,180
Dividend payments – 3,827 – 3,827 – 1,455 – 5,282
Treasury shares acquired – 1,278 – 1,278 – 1,278
Subscribed share capital increase out of Authorised Capital 2 2 2
Premium arising on capital increase relating to preferred stock 107 107 107
Other changes – 1,139 – 607 – 1,746 4,173 2,427
31 December 2022 31 663 2,432 85,425 – 584 – 107 1,728 – 1,154 – 1,278 87,125 4,163 91,288
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