Statement of Comprehensive Income

€m20142015
Profit for the financial year687.3983.3
Other comprehensive income
Items not being reclassified to profit or loss in subsequent periods
Remeasurement of the defined benefit liability (asset)-143.4111.5
Income taxes58.4-17.4
Defined benefit plans-85.094.0
Net gains/ losses arising from equity method investments-0.60.0
Total-85.694.0
Items that may be reclassified subsequently to profit or loss
Cash flow hedges - change in fair value-6.512.5
Reclassification adjustments for gains/ losses included in profit or loss-2.4-14.6
Income taxes2.20.1
Cash flow hedges-6.7-2.1
Currency translation1,317.61,043.9
Reclassification adjustments for gains/ losses included in profit or loss2.4-64.2
Income taxes15.811.1
Currency translation1,335.8990.8
Net gains/ losses arising from equity method investments59.0-2.5
Total1,388.2986.2
Other comprehensive income1,302.61,080.2
Total comprehensive income1,989.92,063.4
Relating to non-controlling interests310.5193.8
Relating to HeidelbergCement AG shareholders1,679.41,869.7