Consolidated Statement of Comprehensive Income

CHF million

Note

2025

2024

Net income

196.9

943.4

Cash flow hedges (group companies)

3.2

13.7

– 50.6

Income tax effect

3.2

– 1.6

7.7

Net of income tax

3.2

12.1

– 42.9

Cash flow hedges (partner power plants and other associates)

0.5

0.3

Currency translation differences

– 12.9

72.0

Items that may be reclassified subsequently to the income statement, net of tax

– 0.3

29.4

Remeasurement of defined benefit plans (group companies)

2.4

47.1

0.5

Income tax effect

2.4

– 7.2

– 0.1

Net of income tax

2.4

39.9

0.4

Remeasurement of defined benefit plans (partner power plants and other associates)

4.3

12.8

9.5

Income tax effect

4.3

– 2.0

– 1.4

Net of income tax

4.3

10.8

8.1

Items that will not be reclassified to the income statement, net of tax

50.7

8.5

Other comprehensive income

50.4

37.9

Total comprehensive income

247.3

981.3

Attributable to non-controlling interests

– 3.7

0.9

Attributable to equity investors of Alpiq Holding Ltd.

251.0

980.4