Statement of changes in equity
Fair Valuation Reserve
EUR million Share Capital Share Premium and Reserve Fund Invested Non-Restricted Equity Fund Treasury Shares Step Acquisition Revaluation Surplus Available for Sale Investments Cash Flow Hedges OCI of Equity Accounted Investments CTA and Net Investment Hedges Retained Earnings Attributable to Owners of the Parent Non-controlling Interests Total
Balance at 31 December 2015 1 342 77 633 - 4 27 -24 -19 -147 3 495 5 388 125 5 513
Profit/loss for the year - - - - - - - - - 463 463 -56 407
OCI before tax - - - - - 138 13 - 113 -62 202 -3 199
Income tax relating to components of OCI - - - - - -3 - - 2 15 14 - 14
Total Comprehensive Income - - - - - 135 13 - 115 416 679 -59 620
Dividend - - - - - - - - - -260 -260 - -260
Acquisitions and disposals - - - - - - - - - -1 -1 -4 -5
Purchase of treasury shares - - - -2 - - - - - - -2 - -2
Share-based payments - - - 2 - - - - - - 2 - 2
Balance at 31 December 2016 1 342 77 633 - 4 162 -11 -19 -32 3 650 5 806 62 5 868
Profit/loss for the year - - - - - - - - - 625 625 -11 614
OCI before tax - - - - - 39 32 5 -248 61 -111 -3 -114
Income tax relating to components of OCI - - - - - 4 -6 - -8 -10 -20 - -20
Total Comprehensive Income - - - - - 43 26 5 -256 676 494 -14 480
Dividend - - - - - - - - - -292 -292 -1 -293
Purchase of treasury shares - - - -3 - - - - - - -3 - -3
Share-based payments - - - 3 - - - - - - 3 - 3
Balance at 31 December 2017 1 342 77 633 - 4 205 15 -14 -288 4 034 6 008 47 6 055
CTA = Cumulative Translation Adjustment, NCI = Non-controlling Interests, OCI = Other Comprehensive Income, EAI= Equity Accounted Investments

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