Covestro Group Consolidated Statement of Changes in Equity – Covestro Annual Financial Report on February 26th 2025

Covestro Group Consolidated Statement of Changes in Equity

Accumulated other comprehensive income
Capital
stock of Covestro AG
Capital reserves of Covestro AG Retained earnings incl. total income Currency translation Cashflow
hedges
Equity attributable to Covestro AG shareholders Equity attributable to noncontrolling interest Equity
€ million € million € million € million € million € million € million € million
Dec. 31, 2022 190 3,788 2,480 628 7,086 36 7,122
Acquisition and redemption of treasury shares (1) (48) (49) (49)
Dividend payments (1) (1)
Other changes1 (1) (1) (1)
Income after income taxes (198) (198) (4) (202)
Other comprehensive income 10 (258) (248) (3) (251)
Total comprehensive income (188) (258) (446) (7) (453)
Transfer of cash flow hedge reserve to inventories
Dec. 31, 2023 189 3,740 2,291 370 6,590 28 6,618
of which treasury shares (12) (12) (12)
Dec. 31, 2023 189 3,740 2,291 370 6,590 28 6,618
Dividend payments (1) (1)
Other changes (1) (1) (1)
Income after income taxes (266) (266) (6) (272)
Other comprehensive income 147 184 5 336 336
Total comprehensive income (119) 184 5 70 (6) 64
Transfer of cash flow hedge reserve to inventories (1) (1) (1)
Dec. 31, 2024 189 3,740 2,171 554 4 6,658 21 6,679
of which treasury shares (12) (12) (12)

1 Other changes in the year 2023 resulted from the sale of long-term investments in equity instruments.