STATEMENT OF COMPREHENSIVE INCOME

 (€ million)    31/12/2015  31/12/2014
1  CONSOLIDATED RESULT OF THE PERIOD   2,259 1,852
Items that may be reclassified to profit and loss in future periods        
2.1   Foreign currency translation differences   328 110
2.2   Net unrealized gains and losses on investments available for sale   -398 4,017
2.3   Net unrealized gains and losses on cash flows hedging derivatives   41 21
2.4   Net unrealized gains and losses on hedge of a net investment in foreign operations   -49 -1
2.5   Share of other comprehensive income of associates   9 49
2.8   Result of discontinued operations   -576 29
2.10  Other      0
Subtotal   -645 4,225
 Items that may not be reclassified to profit and loss in future periods        
2.5  Share of other comprehensive income of associates   0 0
2.8   Result of discontinued operations   437 -196
2.6  Reserve for revaluation model on intangible assets        
2.7  Reserve for revaluation model on tangible assets        
2.9  Actuarial gains or losses arising from defined benefit plans   162 -529
Subtotal   600 -725
2 OTHER COMPREHENSIVE INCOME   -46 3,499
3 TOTAL COMPREHENSIVE INCOME   2,214 5,351
 attributable to the Group   1,912 5,042
 attributable to minority interests   302 309
Earnings per share (in €)   1,23 3,24
Diluted earnings per share (in €)   1,22 3,21