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Consolidated statement of changes in equity

PZU AR 2021 > Results > Financial data 2021 > Consolidated statement of changes in equity
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Consolidated statement of changes in equity Equity attributable to equity holders of the parent Non- controlling interest Total equity
Share capital Other capital Retained earnings Total
Treasury shares Supplemen- tary capital Other reserve capital Cumulative other comprehensive income Retained profit or loss Net profit
Revaluation reserve Actuarial gains and losses related to provisions for employee
benefits
Foreign exchange translation differences
Note 40.1
40.3
40.3 40.3 40.3


2.4
As at 1 January 2021 86 -9 15 848 295 891 3 65 1 598 - 18 777 24 626 43 403
Valuation of equity instruments - - - - 49 - - - - 49 25 74
Valuation of debt instruments - - - - -1 185 - - - - -1 185 -1 044 -2 229
Measurement of loan receivables from clients - - - - -8 - - - - -8 -30 -38
Cash flow hedging - - - - -872 - - - - -872 -2 119 -2 991
Foreign exchange translation differences - - - - - - 4 - - 4 1 5
Actuarial gains and losses related to provisions for employee benefits - - - - - - - - - - 31 31
Total net other comprehensive income - - - - -2 016 - 4 - - -2 012 -3 136 -5 148
Net profit (loss) - - - - - - - - 3 336 3 336 2 098 5 434
Total comprehensive income - - - - -2 016 - 4 - 3 336 1 324 -1 038 286
Other changes, including: - 4 -1 032 305 -15 - - -2 283 - -3 021 -674 -3 695
Distribution of financial result - - 1 020 305 - - - -1 325 - - -674 -674
PZU dividend - - -2 064 - - - - -958 - -3 022 - -3 022
Transactions on treasury shares - 4 -3 - - - - - - 1 - 1
Transactions with holders of non-controlling interests - - - - - - - - - - - -
Sale of equity instruments designated for measurement at fair value through other
- 10 - -10 - - - - - - -
comprehensive income - - 5 - -5 - - - - - - -
Sale of revalued properties and other 86 -5 14 816 600 -1 140 3 69 -685 3 336 17 080 22 914 39 994

Consolidated statement of changes in equity Equity attributable to equity holders of the parent Non- controlling interest Total equity
Share capital Other capital Retained earnings Total
Treasury shares Supplemen- tary capital Other reserve capital Cumulative other comprehensive income Retained profit or loss Net profit
Revaluation reserve Actuarial gains and losses related to provisions for employee
benefits
Foreign exchange translation differences
Note 40.1
40.3
40.3 40.3 40.3


2.4
As at 1 January 2020 86 -7 13 113 -324 294 1 -41 3 047 - 16 169 23 119 39 288
Valuation of equity instruments - - -4 - 1 - - - - -3 61 58
Valuation of debt instruments - - - - 453 - - - - 453 453 906
Measurement of loan receivables from clients - - - - 3 - - - - 3 14 17
Cash flow hedging - - - - 146 - - - - 146 376 522
Foreign exchange translation differences - - - - - - 106 - - 106 -2 104
Actuarial gains and losses related to provisions for employee benefits - - - - - 2 - - - 2 -7 -5
Total net other comprehensive income - - -4 - 603 2 106 - - 707 895 1 602
Net profit (loss) - - - - - - - - 1 912 1 912 618 2 530
Total comprehensive income - - -4 - 603 2 106 - 1 912 2 619 1 513 4 132
Other changes, including: - -2 2 739 619 -6 - - -3 361 - -11 -6 -17
Distribution of financial result - - 2 741 620 - - - -3 361 - - - -
Transactions on treasury shares - -2 2 - - - - - - - - -
Transactions with holders of non-controlling interests - - -10 - - - - - - -10 -2 -12
Sale of revalued properties and other - - 6 -1 -6 - - - - -1 -4 -5
As at 31 December 2020 86 -9 15 848 295 891 3 65 -314 1 912 18 777 24 626 43 403