Statement of comprehensive income

Statement of comprehensive income

(€ million)31.12.201431.12.2013
1CONSOLIDATED RESULT OF THE PERIOD 1,852 2,142
Items that may be reclassified to profit and loss in future periods    
2.1Foreign currency translation differences 110 -346
2.2Net unrealized gains and losses on investments available for sale 4,017 -48
2.3Net unrealized gains and losses on cash flows hedging derivatives 21 104
2.4Net unrealized gains and losses on hedge of a net investment in foreign operations -1 0
2.5Share of other comprehensive income of associates 49 -17
2.8Result of discontinued operations 29 -113
2.10Other    
Subtotal 4,225 -420
Items that may not be reclassified to profit and loss in future periods    
2.5Share of other comprehensive income of associates 0 0
2.8Result of discontinued operations -196 25
2.6Reserve for revaluation model on intangible assets    
2.7Reserve for revaluation model on tangible assets    
2.9Actuarial gains or losses arising from defined benefit plans -530 100
Subtotal -725 125
2OTHER COMPREHENSIVE INCOME 3,499 -295
3TOTAL COMPREHENSIVE INCOME 5,351 1,847
attributable to the Group 5,042 1,782
attributable to minority interests 309 65
Earnings per share (in €) 3.44 1.19
Diluted earnings per share (in €) 3.44 1.19