€ Million |
Notes |
31 december 2023 |
31 december 2022 |
Assets |
|||
Property, plant and equipment |
12 |
9,588 |
8,889 |
Intangible assets |
13 |
230 |
222 |
Right-of-use assets |
14 |
90 |
92 |
Other non-current financial assets |
15 |
8 |
11 |
Non-current assets |
9,916 |
9,214 |
|
Inventories |
16 |
150 |
74 |
Receivables |
17 |
230 |
186 |
Corporate income tax |
18 |
32 |
- |
Other current financial assets |
19 |
5 |
657 |
Cash and cash equivalents |
20 |
127 |
217 |
Current assets |
544 |
1,134 |
|
Total assets |
10,460 |
10,348 |
€ Million |
Notes |
31 december 2023 |
31 december 2022 |
Liabilities |
|||
Issued and paid-up share capital |
150 |
150 |
|
Share premium reserve |
2,436 |
2,436 |
|
General reserve |
2,662 |
1,555 |
|
Profit for the year |
72 |
1,300 |
|
Equity |
21 |
5,320 |
5,441 |
Non-current interest-bearing liabilities |
22 |
3,050 |
2,547 |
Non-current provisions |
23 |
14 |
21 |
Advance contributions for the installation of grids and connections |
24 |
1,215 |
1,125 |
Deferred corporate income tax |
25 |
399 |
352 |
Other non-current liabilities |
26 |
1 |
1 |
Non-current liabilities |
4,679 |
4,046 |
|
Trade and other payables |
27 |
398 |
282 |
Current interest-bearing liabilities |
28 |
25 |
531 |
Corporate income tax |
29 |
0 |
11 |
Current provisions |
23 |
3 |
4 |
Advance contributions to be amortised in the following year |
24 |
35 |
33 |
Current liabilities |
461 |
861 |
|
Total liabilities |
10,460 |
10,348 |