Items included in the income statement EUR 1 000 | 2018 | 2017 |
Interest income from loans and other receivables | ||
Nuclear waste management loan receivables from equity holders of the company | 3 364 | 3 772 |
Other | 106 | 76 |
Hedge accounted derivatives | ||
Ineffective portion of the change in fair value in cash flow hedge relationship | 0 | 3 |
Ineffective portion of the change in fair value in fair value hedge relationship | 2 | 9 |
Non-hedge accounted derivatives | ||
Change in fair value | 485 | 167 |
Interest income from assets related to nuclear waste management | 9 213 | 8 212 |
Finance income, total | 13 170 | 12 239 |
Interest expenses and other finance expenses | ||
To the Finnish State Nuclear Waste Management Fund | 3 364 | 3 772 |
To others | -558 | -637 |
Hedge accounted derivatives | ||
Ineffective portion of the change in fair value in cash flow hedge relationship | 0 | 5 |
Interest rate swaps, fair value hedges | -4 575 | -9 622 |
Fair value adjustment of loan attributable to interest rate risk | 4 575 | 9 622 |
Ineffective portion of the change in fair value in fair value hedge relationship | 0 | 5 |
Non-hedge accounted derivatives | ||
Change in fair value | 152 | 133 |
Realised derivative expenses, net | 1 | 11 |
Interest expenses of provision related to nuclear waste management | 44 476 | 39 592 |
Finance expenses, total | 47 435 | 42 881 |
Total | -34 265 | -30 642 |
Other comprehensive items Other comprehensive items related to derivative financial instruments: EUR 1 000 | 2018 | 2017 |
Cash flow hedges | ||
Changes in the fair value of which the following items have transferred | -4 527 | -17 507 |
Transfers to the consolidated income statement | -31 | -42 |
Transfers to inventories | 1 148 | 4 020 |
Transfers to the nuclear power plant under construction | -12 769 | -12 304 |
Transferred items, total | -11 652 | -8 326 |
Cash flow hedges, total | 7 125 | -9 181 |
Changes in fair values of the share investments | 0 | -14 |
Total other comprehensive items | 7 125 | -9 195 |