ANNUAL REPORT ‘12
NOTES TO THE FINANCIAL STATEMENTS
171
24. RESERVES
229
25. CONCILIATION BETWEEN INDIVIDUAL EQUITY
230
AND CONSOLIDATED EQUITY
26. LOANS
231
27. DERIVATIVE FINANCIAL INSTRUMENTS
236
28. PROVISIONS
237
29. PAYABLES AND OTHER LIABILITIES – NON-CURRENT
237
30. PAYABLES AND OTHER LIABILITIES – CURRENT
238
31. REVENUE
240
32. GOODS SOLD AND MATERIALS CONSUMED
241
33. EXTERNAL SUPPLIES AND SERVICES
241
34. PERSONNEL EXPENSES
242
35. OTHER INCOME
243
36. OTHER EXPENSES
243
37. AMORTISATIONS AND DEPRECIATIONS
244
38. COST OF GROSS FINANCIAL DEBT
244
39. IMPAIRMENT IN FINANCIAL INVESTMENTS
244
40. SHARE IN THE RESULTS OF ASSOCIATES AND OTHERS
245
41. OTHER FINANCIAL RESULTS
245
42. CORPORATE INCOME TAX EXPENDITURE
245
43. RESULT PER SHARE
247
44. DIVIDENDS
247
45. COMMITMENTS UNDERTAKEN
247
46. GUARANTEES PROVIDED
248
47. OUTSTANDING LITIGATION
249
48. BALANCES AND TRANSACTIONS WITH RELATED PARTIES
249
49. FURTHER EVENTS
253