v2.2.0.7
Entry Point
Financial statements
Consolidated Statements of Financial Position
Consolidated Income Statements
Consolidated Statements of Comprehensive Income
Consolidated Statements of Cash Flows
Consolidated Statements of Changes in Equity
 
Block tagging of Notes
Note 1 General Information about Consolidated Financial Statements
Note 2 Scope of Consolidation
Note 3 Summary of Significant Accounting Policies
Note 4 Business Combinations
Note 5 Revenue
Note 6 Other Operating Income/Expense, Net
Note 7 Employee Benefits Expense and Headcount
Note 8 Other Non-Operating Income/Expense, Net
Note 9 Financial Income, Net
Note 10 Income Tax
Note 11 Earnings per Share
Note 12 Other Financial Assets
Note 13 Trade and Other Receivables
Note 14 Other Non-Financial Assets
Note 15 Goodwill and Intangible Assets
Note 16 Property, Plant, and Equipment
Note 17 Trade and Other Payables, Financial Liabilities and Other Non-Financial Liabilities
Note 18 Provisions
Note 19 Deferred Income
Note 20 Total Equity
Note 21 Additional Capital Disclosures
Note 22 Other Financial Commitments and Contingent Liabilities
Note 23 Litigation and Claims
Note 24 Financial Risk Factors
Note 25 Financial Risk Management
Note 26 Additional Fair Value Disclosures on Financial Instruments
Note 27 Share-Based Payments
Note 28 Segment and Geographic Information
Note 29 Board of Directors
Note 30 Related Party Transactions
Note 31 Principal Accountant Fees and Services
Note 32 Subsequent Events
Note 33 Subsidiaries, Associates, and Other Equity Investments
 
Block tagging of Accounting policies
Note 3 Summary of Significant Accounting Policies (Policies)
Note 3 New Accounting Standards not yet adopted (Policies)
 
Block tagging of Tables
Note 2 Scope of Consolidation (Tables)
Note 3 Summary of Significant Accounting Policies (Tables)
Note 4 Business Combinations (Tables)
Note 5 Revenue (Tables)
Note 6 Other Operating Income/Expense, Net (Tables)
Note 7 Employee Benefits Expense and Headcount (Tables)
Note 8 Other Non-Operating Income/Expense, Net (Tables)
Note 9 Financial Income, Net (Tables)
Note 10 Income Tax (Tables)
Note 11 Earnings per Share (Tables)
Note 12 Other Financial Assets (Tables)
Note 13 Trade and Other Receivables (Tables)
Note 14 Other Non-Financial Assets (Tables)
Note 15 Goodwill and Intangible Assets (Tables)
Note 16 Property, Plant, and Equipment (Tables)
Note 17 Trade and Other Payables, Financial Liabilities and Other Non-Financial Liabilities (Tables)
Note 18 Provisions (Tables)
Note 20 Total Equity (Tables)
Note 21 Additional Capital Disclosures (Tables)
Note 22 Other Financial Commitments and Contingent Liabilities (Tables)
Note 24 Financial Risk Factors (Tables)
Note 25 Financial Risk Management (Tables)
Note 26 Additional Fair Value Disclosures on Financial Instruments (Tables)
Note 27 Share-Based Payments (Tables)
Note 28 Segment and Geographic Information (Tables)
Note 29 Board of Directors (Tables)
Note 31 Principal Accountant Fees and Services (Tables)
Note 33 Subsidiaries, Associates, and Other Equity Investments (Tables))
 
Detailed tagging of Notes
Note 2 Scope of Consolidation (Details)
Note 3 Exchange rates (Details)
Note 3 Useful lives and Depreciation rates for PPE (Details)
Note 4 Acquired Businesses (Details)
Note 4 PPA of Businesses acquired (Details)
Note 4 Assignment of acquired Goodwill to Segments (Details)
Note 4 Pro-forma information for Business Combinations (Details)
Note 4 Major Business Combinations (Details)
Note 5 Revenue (Details)
Note 6 Other Operating Income/Expense, Net (Details)
Note 7 Employee benefits expense (Details)
Note 7 Number of Employees (Details)
Note 7 Share-based Payment by function (Details)
Note 8 Other Non-Operating Income/Expense, Net (Details)
Note 9 Financial Income, Net (Details)
Note 10 Tax expense according to Region (Details)
Note 10 Allocation of Profit before income tax to domestic or foreign juridictions (Details)
Note 10 Relationship between Tax Expense and Accounting Profit (Details)
Note 10 Recognized Deferred Tax Assets and Liabilities (Details)
Note 10 Items not resulting in a DTA (Details)
Note 10 Total Income Tax recognized in Comprehensive Income and Equity (Details)
Note 11 Earnings per Share (Details)
Note 12 Other Financial Assets (Details)
Note 12 Available-for-sale Financial Assets (Details)
Note 13 Trade and Other Receivables (Details)
Note 13 Carrying amount trade receivables, net (Details)
Note 13 Aging Of Trade Receivables (Details)
Note 14 Other Non-Financial Assets (Details)
Note 15 Reconciliation Of Changes in Intangible Assets (Details)
Note 15 Reconciliation Of Changes in Goodwill (Details)
Note 15 Significant Intangible Assets (Details)
Note 15 Goodwill by segment (Details)
Note 15 Goodwill Impaiment testing (Details)
Note 16 Property, Plant, and Equipment (Details)
Note 17 Trade and Other Payables (Details)
Note 17 Overview of financial liabilities (Details)
Note 17 Terms of Bonds Issued (Details)
Note 17 Terms of Private Placements (Details)
Note 17 Terms of Banks Loans (Details)
Note 17 Other non-financial liabilities (Details)
Note 18 Summary Of Provisions (Details)
Note 18 Change in Present Value of Defined Benefit Obligation (Details)
Note 18 Change in Fair value of Plan Assets (Details)
Note 18 Assets and Liabilities recognized for Pensions and Other Similar Obligations (Details)
Note 18 Actuarial Assumptions for Defined Benefit Liabilities (Details)
Note 18 Total Expense of Defined Benefit Pension Plans (Details)
Note 18 Actuarial Gains (Losses) on Defined Benefit Pension Plans (Details)
Note 18 Actuarial Assumptions for Total Expense (Details)
Note 18 Plan Asset Allocation for Foreign Plans and Other Post-Employment Obligations (Details)
Note 18 Pension Obligation, Plan Assets, Funded Status and Experience Adjustments (Details)
Note 18 Total Expense of Defined Contribution Plans and State Plans (Details)
Note 18 Other Provisions (Details)
Note 20 Change in Issued capital and Treasury shares (Details)
Note 20 Authorized Shares (Details)
Note 20 Items Booked in Other Comprehensive Income that will be Reclassified to Profit or Loss Before Tax (Details)
Note 21 Capital Structure (Details)
Note 21 Group Liquidity (Details)
Note 22 Other Financial Commitments and Contingent Liabilities (Details)
Note 23 Litigation And Claims (Details)
Note 24 Contractual maturities of Financial Liabilities (Details)
Note 25 Hedge Accounting (Details)
Note 25 Nature and Management of risks arising from financial instruments (Details)
Note 26 Fair Value Of Financial Assets (Details)
Note 26 Fair Value Of Financial Liabilities (Details)
Note 26 Classification Of Financial Instruments (Details)
Note 27 Fair Value and Parameters Used at grant date for Cash-settled plans (Details)
Note 27 Fair Value and Parameters Used at year end for Cash-settled plans (Details)
Note 27 Changes in Numbers of Outstanding Awards (Details)
Note 27 Provision and Expense for Cash-settled plans (Details)
Note 27 Fair Value and Parameters Used at grant date for Bonus Shares (Details)
Note 27 SMP recognized and unrecognized expense at year end (Details)
Note 28 Operating Segments Revenue and Profit or Loss (Details)
Note 28 Reconciliation Of Revenue and Segment Results (Details)
Note 28 Software revenue by Place of Negotiation (Details)
Note 28 Revenue / Software and Software-Related Service Revenue by Location (Details)
Note 28 Software and cloud subscriptions by Location (Details)
Note 28 Non-current assets by Location (Details)
Note 29 Executive Board Compensation (Details)
Note 29 Share-based compensation for Executive Board Members (Details)
Note 29 Retirement Pension Plan for Executive Board Members (Details)
Note 29 Supervisory Board compensation (Details)
Note 29 Payments to former Executive Board Members (Details)
Note 29 Shareholdings of Executive and Supervisory Board Members (Details)
Note 30 Related Party Transactions (Details)
Note 31 Principal Accountant Fees and Services (Details)
Note 33 Associates (Details)