P7. Other comprehensive income

Other comprehensive income was distributed as follows.

SEK in millions

Equity component

Jan–Dec 2015

Jan–Dec 2014

Cash flow hedges

     

Net changes in fair value

Fair value reserve

614

66

Transferred to interest expenses in net income

Fair value reserve

5

Income tax effect adjustments previous year

Fair value reserve

-9

Income tax effect

Fair value reserve

-136

-16

Total cash flow hedges

 

478

46

Available-for-sale financial instruments

     

Net changes in fair value

Fair value reserve

-2

1

Transferred to interest expenses in net income

Fair value reserve

0

2

Tax effect

Fair value reserve

6

0

Total available-for-sale financial instruments

 

4

3

Total other comprehensive income

 

482

49

of which total income tax effects (see also Note P6)

 

-130

-25

No fair value reserve transfer necessitated adjustment of the cost of acquisition.

© TeliaSonera 2015
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