7Baggers

Diageo plc
(NYSE:DEO) 

DEO stock logo

Diageo plc, together with its subsidiaries, produces, markets, and sells alcoholic beverages. The company offers scotch, whisky, gin, vodka, rum, ready to drink products, Irish cream liqueur, raki, liqueur, wine, tequila, Canadian whisky, American whiskey, adult beverages, cachaa, spirits, and brand...

Founded: 1997
Full Time Employees: 27,788
Sector: Consumer Defensive
Industry: Beverages-Wineries & Distilleries

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    Unit: USD2024-12-31 2024-01-30 2023-12-31 2023-08-01 2023-06-30 2023-01-26 2022-12-31 2022-07-28 2022-06-30 2022-01-27 2021-12-31 2021-07-29 2021-06-30 2021-01-28 2020-12-31 2020-08-07 2020-08-04 2020-06-30 2020-01-30 2019-12-31 2019-07-25 2019-01-31 2018-12-31 2018-06-30 2018-01-30 2018-01-25 2017-07-27 2017-06-30 2017-02-02 2017-01-26 2016-07-28 2016-06-30 2016-02-04 2015-06-30 2015-03-16 2015-02-05 2014-08-08 2014-06-30 2014-02-06 2013-02-06 2012-02-23 2012-02-09 2011-10-14 2011-08-25 2011-04-21 2011-02-16 2011-02-10 2010-11-05 2010-08-26 2010-03-30 2010-03-16 2010-02-11 2009-08-31 2009-08-27 2009-03-11 2009-02-12 2008-09-06 2008-08-28 2008-03-05 2008-02-14 2007-08-11 2007-06-30 2007-03-20 2007-03-13 2007-02-15 2006-10-04 2006-08-31 2006-08-25 2006-06-30 2006-03-27 2006-03-13 2006-02-16 2005-10-26 2005-09-01 2005-04-28 2004-06-30 
                                                                                
      notes
                                                                                
      sales
    15,176,000,000 15,181 15,181,000,000 23,515 28,270,000,000 13,219 13,219,000,000 22,448  11,753 11,753 19,153  10,436 10,436,000,000 17,697 17,697  10,831 10,831 19,294 10,363 10,363  9,934 9,934 18,114  9,615  8,267  13,980 8,724 13,980  8,014 8,235 7,825 7,825 13,232 13,232 7,132 7,132 7,132 12,958 12,958 6,928 6,928 6,928 12,283 12,283 6,691 6,691 10,643 10,643  5,667 9,917  5,358 5,358 5,358 9,704 9,704 8,968  5,359 5,359 5,359  8,968 5,175  
      excise duties
    -4,275,000,000 -4,219 -4,219,000,000 -6,402 -7,715,000,000 -3,799 -3,799,000,000 -6,996  -3,796 -3,796 -6,420  -3,562 -3,562,000,000 -5,945 -5,945  -3,631  -6,427 -3,455 -3,455  -3,404 -3,404 -6,064  -3,194 -3,194 -5,156  -2,661         -2,068 -3,296 -3,296 -1,812  -1,812 -3,178 -3,178  -1,721 -1,721 -2,972 -2,972  -1,623 -2,553 -2,553  -1,380 -2,436  -1,336 -1,336 -1,336 -2,444 -2,444 -2,291  -1,399 -1,399 -1,399  -2,291   
      net sales
    10,901,000,000 10,962 10,962,000,000 17,113 20,555,000,000 9,420 9,420,000,000 15,452  7,957 7,957 12,733  6,874 6,874,000,000 11,752 11,752  7,200 7,200 12,867 6,908 6,908  6,530 6,530 12,050  6,421  5,606  10,258 5,900 10,258  5,932 6,039 5,757 5,757 9,936 9,936 5,320 5,320 5,320 9,780 9,780 5,207 5,207 5,207 9,311 9,311 5,068 5,068 8,090 8,090  4,287 7,481  4,022 4,022 4,022 7,260 7,260 6,677  3,960 3,960 3,960  6,677   
      yoy
    -46.97% 16.37% 16.37% 10.75%  18.39% 118386226.50% 21.35%  15.76% -100.00% 8.35%   95472122.22% 63.22% -8.67%  4.23%  97.04% 5.79% -42.67%  1.70% 326400.00% 602400.00%  14.54%  -99.98%  -45.35%  72.93% -2.30% 78.18%  -40.30% -39.22% 8.21% 8.21% 86.77% 1.60% -45.60% 2.17% 2.17% 87.82% 5.04% -44.08% 2.74% 2.74% 15.09% 15.09%  18.22% 8.14%   6.59% 86.00%  -44.60% -39.76%  83.33% 83.33% 68.61%  -40.69%       
      qoq
    99443432.20% -100.00% 64056465.18% -100.00% 218205844.80% -100.00% 60962882.14%   0.00% -37.51%   -100.00% 58492071.55% 0.00%   0.00% -44.04% 86.26% 0.00%   0.00% -45.81%   320950.00% 0.00%     73.86% -42.48%   -1.77% 4.90% 0.00% -42.06% 0.00% 86.77% 0.00% 0.00% -45.60% 0.00% 87.82% 0.00% 0.00% -44.08% 0.00% 83.72% 0.00% -37.35% 0.00%   -42.69%   0.00% 0.00% -44.60% 0.00% 8.73%   0.00% 0.00% NaN% NaN%    
      cost of sales
    -4,163,000,000 -4,241 -4,241,000,000 -6,899 -8,289,000,000 -3,624 -3,624,000,000 -5,973  -2,955 -2,955 -5,038  -2,661 -2,661,000,000 -4,654 -4,654  -2,702  -4,866 -2,508 -2,508  -2,439 -2,439 -4,680  -2,465 -2,465 -4,251  -2,292         -2,189 -4,010 -4,010 -2,072  -2,072 -4,099 -4,099  -2,123 -2,123 -3,883 -3,883  -2,004 -3,245 -3,245  -1,677 -3,003  -1,534 -1,534 -1,534 -2,921 -2,921 -2,603  -1,511 -1,511 -1,511 -29 -2,556 -2,799  
      gross profit
    6,738,000,000 6,721 6,721,000,000 10,214 12,266,000,000 5,796 5,796,000,000 9,479  5,002 5,002 7,695  4,213 4,213,000,000 7,098 7,098  4,498 4,498 8,001 4,400 4,400  4,091 4,091 7,370  3,956 3,956 6,234  3,314  6,229 3,472 6,229  3,732 3,763 3,568 3,568 5,926 5,926 3,248 3,248 3,248 5,681 5,681 3,084 3,084 3,084 5,428 5,428 3,064 3,064 4,845 4,845  2,610 4,478  2,488 2,488 2,488 4,339 4,339 4,074  2,449 2,449 2,449 -29 4,121 2,376  
      yoy
    -45.07% 15.96% 15.96% 7.75%  15.87% 115873550.54% 23.18%  18.73% -100.00% 8.41%   93663750.60% 57.80% -11.29%  2.23%  95.58% 7.55% -40.30%  3.41% 3.41% 18.22%  19.37%  0.08%  -46.80%  66.91% -7.73% 74.58%  -37.02% -36.50% 9.85% 9.85% 82.45% 4.31% -42.83% 5.32% 5.32% 84.21% 4.66% -43.18% 0.65% 0.65% 12.03% 12.03%  17.39% 8.20%   4.90% 79.98%  -42.66% -38.93%  77.17% 77.17% 66.35%  -40.57% 3.07%      
      qoq
    100252838.55% -100.00% 65801740.61% -100.00% 211628609.45% -100.00% 61145590.47%   0.00% -35.00%   -100.00% 59354647.82% 0.00%   0.00% -43.78% 81.84% 0.00%   0.00% -44.49%   0.00% -36.54%     79.41% -44.26%   -0.82% 5.47% 0.00% -39.79% 0.00% 82.45% 0.00% 0.00% -42.83% 0.00% 84.21% 0.00% 0.00% -43.18% 0.00% 77.15% 0.00% -36.76% 0.00%   -41.72%   0.00% 0.00% -42.66% 0.00% 6.50%   0.00% 0.00% -8544.83% -100.70% 73.44%   
      gross margin %
    61.81% 61.31% 61.31% 59.69% 59.67% 61.53% 61.53% 61.34% NaN% 62.86% 62.86% 60.43% NaN% 61.29% 61.29% 60.40% 60.40% NaN% 62.47% 62.47% 62.18% 63.69% 63.69% NaN% 62.65% 62.65% 61.16% NaN% 61.61% 197800.00% 311700.00% NaN% 59.12% NaN% 60.72% 58.85% 60.72% NaN% 62.91% 62.31% 61.98% 61.98% 59.64% 59.64% 61.05% 61.05% 61.05% 58.09% 58.09% 59.23% 59.23% 59.23% 58.30% 58.30% 60.46% 60.46% 59.89% 59.89% NaN% 60.88% 59.86% NaN% 61.86% 61.86% 61.86% 59.77% 59.77% 61.02% NaN% 61.84% 61.84% 61.84% NaN% 61.72% Infinity%  
      marketing
    -1,896,000,000 -1,952 -1,952,000,000 -3,051 -3,663,000,000 -1,577 -1,577,000,000 -2,721  -1,351 -1,351 -2,163  -1,085 -1,085,000,000 -1,841     -2,042 -1,054 -1,054  -968 -968 -1,798  -908 -908 -1,562  -822         -896 -1,538 -1,538                   -626   -1,127 -1,127 -1,013  -618 -618 -618  -1,013   
      other operating items
    -1,687,000,000 -1,452 -1,452,000,000 -2,531 -3,056,000,000 -1,058 -1,058,000,000 -2,349  -908 -908 -1,801  -889 -889,000,000 -3,120 -3,120  -940                                                          
      operating profit
    3,155,000,000 3,317 3,317,000,000 4,632 5,547,000,000 3,161 3,161,000,000 4,409  2,743 2,743 3,731  2,239 2,239,000,000 2,137 2,137  2,442 2,442 4,042 2,430 2,430  2,190 2,190 3,559  2,065  1,613  2,707 1,668 2,707  2,040 2,045 1,842 1,842 2,595 2,595 1,718 1,718 1,718 2,574 2,574 1,536 1,536 1,536 2,443 2,443 1,636 1,636 2,226 2,226  1,414 2,159  1,306 1,306 1,306 2,044 2,044 1,932  1,261 1,261 1,261 -201 1,932   
      yoy
    -43.12% 4.94% 4.94% 5.06%  15.24% 115238689.65% 18.17%  22.51% -100.00% 74.59%   91687041.69% -12.49% -47.13%  0.49%  84.57% 10.96% -31.72%  6.05% 109400.00% 177850.00%  28.02%  -99.93%  -40.41%  32.70% -18.44% 46.96%  -21.39% -21.19% 7.22% 7.22% 51.05% 0.82% -33.26% 11.85% 11.85% 67.58% 5.36% -37.13% -6.11% -6.11% 9.75% 9.75%  15.70% 3.10%   8.27% 65.31%  -36.11% -32.40%  62.09% 62.09% 53.21%  -34.73%       
      qoq
    95115968.74% -100.00% 71610435.41% -100.00% 175482342.27% -100.00% 71694161.74%   0.00% -26.48%   -100.00% 104772946.33% 0.00%   0.00% -39.58% 66.34% 0.00%   0.00% -38.47%   103150.00% 0.00%     62.29% -38.38%   -0.24% 11.02% 0.00% -29.02% 0.00% 51.05% 0.00% 0.00% -33.26% 0.00% 67.58% 0.00% 0.00% -37.13% 0.00% 49.33% 0.00% -26.50% 0.00%   -34.51%   0.00% 0.00% -36.11% 0.00% 5.80%   0.00% 0.00% -727.36% -110.40%    
      operating margin %
    28.94% 30.26% 30.26% 27.07% 26.99% 33.56% 33.56% 28.53% NaN% 34.47% 34.47% 29.30% NaN% 32.57% 32.57% 18.18% 18.18% NaN% 33.92% 33.92% 31.41% 35.18% 35.18% NaN% 33.54% 33.54% 29.54% NaN% 32.16% 100.00% 100.00% NaN% 28.77% NaN% 26.39% 28.27% 26.39% NaN% 34.39% 33.86% 32.00% 32.00% 26.12% 26.12% 32.29% 32.29% 32.29% 26.32% 26.32% 29.50% 29.50% 29.50% 26.24% 26.24% 32.28% 32.28% 27.52% 27.52% NaN% 32.98% 28.86% NaN% 32.47% 32.47% 32.47% 28.15% 28.15% 28.94% NaN% 31.84% 31.84% 31.84% NaN% 28.94% NaN%  
      non-operating items
    -54,000,000 -60 -60,000,000 328 364,000,000 16 16,000,000 -17  -31 -31 14  5,000,000 -23 -23    144 146 146    20  20  211  140 98 140  138                                      
      finance income
    220,000,000 287 287,000,000 340 409,000,000 257 257,000,000 497  130 130 278  127 127,000,000 366 366  163 163 442 181 181  113 113 235  153  110  241 159 241                                        
      finance charges
    -662,000,000 -718 -718,000,000 -934 -1,121,000,000 -549 -549,000,000 -919  -310 -310 -651  -327 -327,000,000 -719 -719  -317  -705 -309 -309  -267 -267 -564  -335  -286                                            
      share of after tax results of associates and joint ventures
    115,000,000 253 253,000,000 370 443,000,000 172 172,000,000 417  190 190 334  154 154,000,000 282 282  176 176 312 179 179  168 168 309  171 171 221  136  252 113 252                                        
      profit before taxation
    2,774,000,000 3,079 3,079,000,000 4,736 5,642,000,000 3,057 3,057,000,000 4,387  2,722 2,722 3,706  2,198 2,198,000,000 2,043 2,043  2,464 2,464 4,235 2,627 2,627  2,204 2,204 3,559  2,074 2,074 2,858  1,784  2,711 1,640 2,711  2,134 1,961 1,860 1,860 2,360 2,360 1,612 1,612 1,612 2,239 2,239 1,393 1,393 1,393 2,015 2,015 1,412 1,412 2,093 2,093  1,368 2,095  1,299 1,299 1,299 1,989 1,989 1,912  1,250 1,250 1,250 13 1,922   
      taxation
    -699,000,000 -737 -737,000,000 -970 -1,163,000,000 -650 -650,000,000 -1,049  -634 -634 -907  -537 -537,000,000 -589 -589  -530  -898 -560 -560  -77 -77 -732  -436  -296         -841 -343 -343 -352  -352 -477 -477  -310 -310 -292 -292  -211 -522 -522  -354 -678  -367 -367 -367 -496 -496 -677  -313 -313 -313 78 -677   
      profit for the period
    2,075,000,000 2,342 2,342,000,000   2,407 2,407,000,000   2,088 2,088   1,661 1,661,000,000    1,934 1,934  2,067 2,067  2,127 2,127   1,583 1,583   1,488   1,364   1,654 1,601 1,019 1,019   1,260 1,260 1,260   1,073 1,073 1,073   1,201 1,201    1,014   932 932 932   1,235  937 937 937 164 1,245   
      attributable to:
                                                                                
      equity shareholders of the parent company
    1,935,000,000 2,210 2,210,000,000 3,734 4,445,000,000 2,295 2,295,000,000 3,249  1,965 1,965 2,660  1,580 1,580,000,000 1,409 1,409  1,865 1,865 3,160 1,976 1,976        2,244  1,406   1,311 2,248  1,599 1,538 953 953 1,900 1,900 1,194 1,194 1,194 1,629 1,629 1,016 1,016 1,016 1,621 1,621 1,137 1,137 1,521 1,521  975 1,489  895 895 895            
      non-controlling interests
    140,000,000 132 132,000,000 32 34,000,000 112 112,000,000 89  123 123 139  81 81,000,000 45 45  69 69 177 91 91  69 69 110  69 69 118  82   53   55 63 66 66 117 117 66 66 66 114 114 57 57 57                         
      weighted-average number of shares
                                     2,505   2,506                                        
      shares in issue excluding own shares
    2,221,000,000 2,242 2,242,000,000 2,264 2,264,000,000 2,274 2,274,000,000 2,318  2,331 2,331 2,337  2,336 2,336,000,000 2,346 2,346  2,356 2,356 2,418 2,442 2,442  2,505 2,505 2,512  2,511 2,511 2,508  2,507  2,506 2,506                                         
      dilutive potential ordinary shares
    7,000,000 5,000,000 7,000,000 7,000,000   7,000,000  10 10 10 10 10  12 12 11  12 12 10  11  11                                         
      basic earnings per share
    87.1 98.6 98.6 164.9 196.3 100.9 100.9 140.2  84.3 84.3 113.8  67.6 67.6 60.1 60.1  79.2 79.2 130.7 80.9 80.9        89.5  56.1                                            
      diluted earnings per share
    86.9 98.4 98.4 164.4 195.7 100.6 100.6 139.7  84 84 113.4  67.4 67.4 59.9 59.9  78.8 78.8 130.1 80.6 80.6        89.1  55.8                                            
      profit for the year
       3,766 4,479,000,000   3,338    2,799    1,454 1,454    3,337      2,772    2,362    2,181  2,181      2,017 2,017    1,743 1,743    1,725 1,725   1,597 1,597   1,556     1,493 1,493          
      other operating expenses
                        -1,917 -916 -916  -933 -933 -2,013  -983 -983 -1,831  -879         -830 -1,793 -1,793 -717  -717 -1,688 -1,688  -823 -823 -1,673 -1,673  -696 -1,380 -1,380  -553 -1,157  -556 -556 -556 -1,168 -1,168 -1,129  -570 -570 -570 -179 -1,176   
      profit from continuing operations
                            2,127 2,127 2,827  1,638 1,638     2,264 1,364 2,264  1,746    2,017 2,017 1,260 1,260 1,260 1,762 1,762 1,083 1,083 1,083 1,723 1,723   1,571 1,571   1,417     1,493 1,493 1,235     91 1,245   
      discontinued operations
                              -55  -55                  -19 -19  -10 -10   26 26   139            53    
      equity shareholders of the parent company – continuing operations
                            2,058                                                    
      equity shareholders of the parent company – discontinued operations
                                                                                
      continuing operations
                            82.2 82.2 108.2  62.5 62.5     93 52.3 93  67.5    76.2 76.2 47.9  47.9 66.3 66.3                 67.2 67.2          
      equity shareholders of the parent company - continuing operations
                             2,058 2,717  1,569 1,569     2,331                                          
      equity shareholders of the parent company - discontinued operations
                              -55  -55 -55                                               
      diageo condensed consolidated statement of comprehensive income
                                                                                
      - discontinued operations
                                                                                
      non-controlling interests - continuing operations
                                                                                
      finance charge
                                                                                
      net interest payable
                                             -192 -369 -369 -196  -196 -375 -375  -197 -197 -516 -516  -297 -341 -341  -157 -251  -120 -120 -120            
      net other finance charges
                                             -14 -28 -28 -13  -13 -87 -87  -40 -40                         
      share of associates’ profits after tax
                                          181 128 122     104    94     120     105 149  91 91 91 131 131 121  77 77 77  121   
      average shares
                                          2,507 2,501 2,493 2,493 2,493 2,493 2,492 2,492 2,492 2,486 2,486 2,482 2,482 2,482 2,485 2,485 2,492 2,492 2,566 2,566  2,590 2,688  2,725 2,725 2,725 2,841 2,841 2,972  2,886 2,886 2,886 2,972 2,972   
      sale of businesses
                                            102 102 -14 -14 -1  -1 -15 -15                         
      pence per share
                                                                                
      basic earnings
                                           61.5 38.2 38.2 76.2 76.2 47.9 47.9 47.9 65.5 65.5 40.9 40.9 40.9 65.2 65.2 45.6 45.6 59.3 59.3  37.6 55.4  32.8 32.8 32.8   42.8  40.4 40.4 40.4 43.1 43.1   
      diluted earnings
                                           61.1 38.1 38.1 76 76 47.8 47.8 47.8 65.4 65.4 40.8 40.8 40.8 65 65 45.6 45.6 58.9 58.9  37.4 55  32.6 32.6 32.6     40.4 40.4 40.4     
      share of associates' profits after tax
                                             122 176 176 104  104 142 142  94 94 164 164  120 177 177                   
      marketing expenses
                                                -813  -813 -1,419 -1,419  -725 -725 -1,312 -1,312  -732 -1,239 -1,239  -643 -1,162                
      discountinued operations
                                                                                
      net other finance (charges)/income
                                                        -76 -76  -47                     
      minority interests
                                                        104 104 64 64 76 76  39 67  37 37 37 57 57 55  39 39 39  55   
      net other finance income
                                                            22 22  39  22 22 22            
      sale of general mills and other businesses
                                                                -1                
      sale of general mills shares
                                                                     151 151 221  151 151 151 221 221   
      marketing spend
                                                                   -626 -626            
      sale of other businesses
                                                                     -7     -7 -7   
      net interest
                                                                     -193 -193 -150  -92 -92 -92  -150   
      other net finance income
                                                                              
      profit after tax from disposal of businesses
                                                                                
      equity shareholders
                                                                     1,436 1,436   898 898 898     
      disposal of fixed assets
                                                                             
      investment income
                                                                       17   17   
      other finance (charges)/income
                                                                       -8  -1       
      disposal of business
                                                                       53      53   
      tax on disposal of business
                                                                       20     20 20   
      equity shareholders of the company
                                                                       1,180     164 1,190   
      from continuing operations
                                                                                
      from continuing and discontinued operations
                                                                                
      dividends
                                                                       29.55     29.55 29.55   
      other finance (charges)/ income
                                                                          -1 -1     
      other finance income/
                                                                               
      selling, general and administrative expenses
                                                                              -1,205  
      integration and restructuring costs
                                                                              -20  
      derivative instruments in respect of general mills shares
                                                                              -1  
      disposal of businesses and other fixed assets
                                                                               
      operating income
                                                                              1,153  
      disposal of general mills shares
                                                                              59  
      earnings from unconsolidated affiliates
                                                                              83  
      interest expense
                                                                              -106  
      interest income
                                                                              32  
      income before income taxes
                                                                              1,221  
      income taxes
                                                                              -231  
      minority interest charges
                                                                              -56  
      net income
                                                                              934  
      yoy
                                                                                
      qoq
                                                                                
      net income margin %
    0% 0% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% NaN% 0% 0% 0% 0% NaN% 0% 0% 0% 0% 0% NaN% 0% 0% 0% NaN% 0% 0% 0% NaN% 0% NaN% 0% 0% 0% NaN% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% NaN% 0% 0% NaN% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% NaN% 0% Infinity%  
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2024-12-31 2023-12-31 2023-08-01 2023-06-30 2023-01-30 2022-12-31 2022-07-28 2022-06-30 2022-01-26 2021-12-31 2021-07-29 2021-01-27 2020-12-31 2020-08-07 2020-08-04 2020-01-28 2019-12-31 2019-07-25 2019-01-30 2018-12-31 2018-01-31 2018-01-30 2017-07-27 2016-02-02 2016-01-26 2015-02-04 2014-08-08 2014-03-16 2014-02-05 2013-02-06 2012-02-09 2012-02-06 2011-10-14 2011-08-25 2011-04-21 2011-02-23 2011-02-09 2010-11-05 2010-08-26 2010-04-21 2010-03-16 2010-02-16 2010-02-11 2010-02-10 2009-08-31 2009-08-27 2009-03-30 2009-03-16 2009-02-11 2008-09-06 2008-08-28 2008-03-11 2008-02-12 2007-08-11 2007-06-30 2007-02-14 2006-10-04 2006-08-31 2006-08-25 2006-06-30 2006-03-20 2006-03-13 2006-02-15 2005-10-26 2005-09-01 2005-08-25 2005-03-27 2005-03-13 2005-02-16 2004-04-28 2004-03-25 2003-11-19 2003-03-25 
                                                                               
        notes
                                                                               
        non-current assets
                                                                               
        intangible assets
      14,764,000,000 14,496,000,000 11,512 14,506,000,000 14,496 12,130,000,000 11,902  12,130 10,921 10,764 10,921 10,877,000,000 11,300 11,300 10,877 12,035 12,557 12,035 12,555 12,555 12,807 12,566 12,911 12,911 11,333 7,891 7,891 11,379 8,324 8,092 8,910   6,661 8,092 8,092 6,726 6,726 6,661 6,355 6,661 6,355 6,661 6,215 6,215 6,355 6,355 6,355 5,530 5,530 6,878 6,878  4,383 4,440  4,534 4,409 4,534 4,399 4,399 4,399 4,840 4,840 4,409 4,723 4,723 4,723     
        property, plant and equipment
      8,533,000,000 8,212,000,000 6,142 7,738,000,000 8,212 5,972,000,000 5,848  5,972 5,091 4,849 5,091 4,757,000,000 4,926 4,926 4,757 4,834 4,455 4,834 4,238 4,238 3,953 4,014 3,992 3,992 3,624 3,433 3,433 3,754 3,393 2,781 3,124   2,456 2,781 2,781 2,404 2,404 2,456 2,390 2,456 2,390 2,456 2,268 2,268 2,390 2,390 2,390 2,122 2,122 2,428 2,428  1,932 2,008  1,952 1,919 1,952 1,889 1,889 1,889 1,936 1,936 1,919 1,987 1,987 1,987 1,941 1,891   
        biological assets
      173,000,000 194,000,000 156 197,000,000 194 119,000,000 94  119 75 66 75 63,000,000 51 51 63 42 34 42 26 26 21 21 10 10 53 53 66 34 34 34   29 34 34 30 30 29 38 29 38 29 37 37 38 38 38 31 31 29 29  12  13 14 13 14 14 14     
        investments in associates and joint ventures
      5,076,000,000 5,229,000,000 3,829 4,825,000,000 5,229 3,925,000,000 3,652  3,925 3,473 3,308 3,473 3,578,000,000 3,557 3,557 3,578 3,202 3,173 3,202 3,230 3,230 3,053 2,824 2,797 2,797 2,314 3,201 3,201 2,491                                             
        other investments
      102,000,000 96,000,000 57 71,000,000 96 42,000,000 37  42 50 40 50 36,000,000 41 41 36 51 49 51 48 48 49 31 31 31 29 63 63 161 68 115 98   139 115 115 117 117 139 130 139 130 139 231 231 130 130 130 168 168 166 166  128 124  69 719 69 72 72 72 719 719 719 66 66 66     
        other receivables
      37,000,000 32,000,000 31 39,000,000 32 28,000,000 37  28 28 36 28 41,000,000 46 46 41 48 53 48 59 59 56 58 55 55 49 107 107 52 110 217 117   20 217 217 115 115 20 18 20 18 20 18 18 18 18 18 11 11 15 15  17 19  12 44 12 14 14 14   44        
        other financial assets
      392,000,000 430,000,000 394 497,000,000 430 399,000,000 345  399 319 327 319 410,000,000 686 686 410 338 404 338 281 281 184 267 327 327 259 250 250 279 276 495 449   341 495 495 472 472 341 261 341 261 341 364 364 261 261 261 111 111 622 622  52 82  42 32 42 51 51 51   32 96 96 96     
        deferred tax assets
      131,000,000 171,000,000 141 178,000,000 171 106,000,000 114  106 83 100 83 114,000,000 119 119 114 71 138 71 106 106 179 134 296 296 167 246 246 291 229 240 327   359 240 240 529 529 359 594 359 594 359 672 672 594 594 594 590 590 590 590  771 694  1,113 778 1,113 837 837 837 778 778 778 705 705 705     
        post-employment benefit assets
      974,000,000                                                                         
        current assets
                                                                               
        inventories
      9,699,000,000 9,840,000,000 7,661 9,653,000,000 9,840 7,552,000,000 7,094  7,552 6,235 6,045 6,235 5,750,000,000 5,772 5,772 5,750 5,459 5,472 5,459 5,276 5,276 4,919 4,788 4,741 4,741 4,387 4,222 4,222 4,597 4,320 3,755 4,184   3,401 3,755 3,755 3,281 3,281 3,401 3,279 3,401 3,279 3,401 3,162 3,162 3,279 3,279 3,279 2,739 2,739 3,353 3,353  2,465 2,695  2,386 2,347 2,386 2,474 2,474 2,474 2,347 2,347 2,347 2,488 2,488 2,488     
        trade and other receivables
      4,532,000,000 4,580,000,000 2,720 3,427,000,000 4,580 3,874,000,000 2,933  3,874 3,328 2,385 3,328 3,075,000,000 2,111 2,111 3,075 3,587 2,694 3,587 3,541 3,541 3,431 2,592 3,603 3,603 3,077 2,499 2,499 3,462 2,957 2,843 2,906   2,670 2,843 2,843 2,008 2,008 2,670 2,596 2,670 2,596 2,670 2,031 2,031 2,596 2,596 2,596 2,051 2,051 2,992 2,992  1,759 2,541  1,681 1,569 1,681 2,183 2,183 2,183 68 68 1,569 40 40 40     
        assets held for sale
      302,000,000     182,000,000 222  182 16  16     51 65 51 83 83   563 325 18 76   63 18 18 112 112 63  63  63                              
        corporate tax receivables
      235,000,000 274,000,000 232 292,000,000 274 166,000,000 149  166 151 145 151 173,000,000  190 173 68 83 68 12 12                                                     
        cash and cash equivalents
      1,656,000,000 1,529,000,000 1,439 1,813,000,000 1,529 2,766,000,000 2,285  2,766 1,780 2,749 1,780 2,763,000,000 3,323 3,323 2,763 950 932 950 1,591 1,591 920 1,191 1,254 1,254 541 622 622 802 891 1,121 708   1,472 1,121 1,121 1,453 1,453 1,472 1,589 1,472 1,589 1,472 914 914 1,589 1,589 1,589 714 714 2,088 2,088  885 811  699 787 699 975 975 975 787 787 787 1,039 1,039 1,039     
        total assets
      46,946,000,000 46,765,000,000 35,621 44,883,000,000 46,765 38,719,000,000 36,516  38,719 33,160 31,953 33,160 32,804,000,000 33,308 33,308 32,804 31,733 31,296 31,733 32,094 32,094 30,102 28,848 30,230 30,230 26,797 22,964 22,964 27,910 24,245 22,446 23,329 19,777 19,777 19,999 22,446 22,446 19,454 19,454 19,999 19,626 19,999 19,626 19,999 18,096 18,096 19,626 19,626 19,626 16,027 16,027 22,043 22,043 13,956 13,956 15,187 13,927 13,927 13,921 13,927 14,406 14,406 14,406 14,369 14,369 13,921 14,692 14,692 14,692 22,582 23,753   
        current liabilities
                                                                               
        borrowings and bank overdrafts
      -2,496,000,000 -2,004,000,000 -1,701 -2,142,000,000 -2,004 -2,305,000,000 -1,522  -2,305 -1,184 -1,862 -1,184 -1,214,000,000 -1,995 -1,995 -1,214 -3,381 -1,959 -3,381 -1,742 -1,742 -2,378 -2,459 -2,743 -2,743 -1,935 -1,576 -1,576 -2,845 -3,007 -2,741 -2,218   -794 -2,741 -2,741 -587 -587 -794 -891 -794 -891 -794 -890 -890 -891 -891 -891 -1,663 -1,663 -1,892 -1,892  -1,535 -1,372  -759 -869 -759 -1,279 -1,279 -1,279 -869 -869 -869 -1,047 -1,047 -1,047     
        other financial liabilities
      -470,000,000 -371,000,000 -359 -453,000,000 -371 -436,000,000 -444  -436 -388 -257 -388 -332,000,000 -389 -389 -332 -474 -333 -474 -386 -386 -324 -215 -274 -274 -111 -146 -146 -156 -153 -99 -123   -139 -99 -99 -186 -186 -139 -154 -139 -154 -139 -220 -220 -154 -154 -154 -126 -126 -547 -547  -43 -99  -36  -36 -24 -24 -24    -149 -149 -149     
        share buyback liability
       -497,000,000   -497 -215,000,000 -117  -215 -184 -91 -184     -71  -71                                                       
        trade and other payables
      -7,094,000,000 -7,292,000,000 -5,300 -6,678,000,000 -7,292 -6,110,000,000 -5,887  -6,110 -5,327 -4,648 -5,327 -4,624,000,000 -3,683 -3,683 -4,624 -4,474 -4,202 -4,474 -4,415 -4,415 -4,142 -3,563 -3,939 -3,939 -3,194 -2,800 -2,800 -3,297 -3,040 -3,203 -3,238   -2,804 -3,203 -3,203 -2,615 -2,615 -2,804 -2,738 -2,804 -2,738 -2,804 -2,173 -2,173 -2,738 -2,738 -2,738 -2,143 -2,143 -2,565 -2,565  -1,888 -2,180  -1,803 -1,872 -1,803 -2,021 -2,021 -2,021 -1,912 -1,912 -1,872 -1,984 -1,984 -1,984     
        liabilities held for sale
      -81,000,000     -76,000,000 -61  -76 -30  -30     -27 -32 -27 -32 -32     -175   -45      -5   -10 -10 -5  -5  -5                              
        corporate tax payables
      -191,000,000 -253,000,000 -135 -170,000,000 -253 -266,000,000 -252  -266 -380 -146 -380 -364,000,000  -246 -364 -336 -378 -336 -446 -446                                                     
        provisions
      -139,000,000 -213,000,000 -119 -150,000,000 -213 -113,000,000 -159  -113 -111 -138 -111 -176,000,000 -183 -183 -176 -90 -99 -90 -107 -107 -109 -129 -140 -140 -91 -132 -132 -188 -90 -121 -99   -174 -121 -121 -155 -155 -174 -196 -174 -196 -174 -172 -172 -196 -196 -196 -72 -72 -82 -82  -60 -64  -56 -88 -56 -66 -66 -66 -88 -88 -88 -101 -101 -101     
        non-current liabilities
                                                                               
        borrowings
      -19,224,000,000 -19,476,000,000 -14,801 -18,649,000,000 -19,476 -15,304,000,000 -14,498  -15,304 -12,693 -12,865 -12,693 -14,063,000,000 -14,790 -14,790 -14,063 -10,091 -10,596 -10,091 -10,272 -10,272 -7,647 -6,583 -7,502  -7,930 -7,638 -7,638 -8,518 -6,716 -6,863 -6,235   -7,847 -6,863 -6,863 -8,177 -8,177 -7,847 -8,202 -7,847 -8,202 -7,847 -7,685 -7,685 -8,202 -8,202 -8,202 -5,545 -5,545 -9,223 -9,223  -4,132 -5,154  -4,001 -3,677 -4,001 -4,222 -4,222 -4,222 -3,677 -3,677 -3,677 -3,907 -3,907 -3,907     
        other payables
      -285,000,000 -447,000,000 -368 -463,000,000 -447 -353,000,000 -380  -353 -278 -338 -278 -267,000,000 -175 -175 -267 -185 -222 -185 -250 -250 -196 -24 -38 -38 -58 -94 -94 -83 -103 -48 -96   -54 -48 -48 -76 -76 -54 -26 -54 -26 -54 -30 -30 -26 -26 -26 -34 -34 -31 -31  -38 -31  -37 -95 -37 -11 -11 -11 -95 -95 -95 -107 -107 -107     
        deferred tax liabilities
      -2,937,000,000 -2,839,000,000 -2,183 -2,751,000,000 -2,839 -2,257,000,000 -2,319  -2,257 -2,112 -1,945 -2,112 -1,900,000,000 -1,972 -1,972 -1,900 -1,896 -2,032 -1,896 -2,123 -2,123 -1,786 -2,112 -2,180 -2,180 -1,923 -1,365 -1,365 -2,147 -1,437 -1,147 -1,535   -825 -1,147 -1,147 -744 -744 -825 -672 -825 -672 -825 -621 -621 -672 -672 -672 -676 -676 -962 -962  -582 -658  -674 -298 -674 -560 -560 -560 -298 -298 -298 -406 -406 -406     
        post-employment benefit liabilities
      -433,000,000                                                                         
        total liabilities
      -34,541,000,000 -35,041,000,000 -26,329 -33,174,000,000 -35,041 -28,853,000,000 -27,002  -28,853 -23,829 -23,522 -23,829 -24,426,000,000 -24,868 -24,868 -24,426 -22,503 -21,140 -22,503 -20,961 -20,961 -18,412 -16,820 -18,977 -18,977 -17,120 -15,374 -15,374 -19,214 -16,207 -16,348 -15,881 -13,792 -13,792 -14,349 -16,348 -16,348 -14,668 -14,668 -14,349 -15,035 -14,349 -15,035 -14,349 -14,160 -14,160 -15,035 -15,035 -15,035 -11,852 -11,852 -17,427 -17,427 -9,786 -9,786 -11,136 -9,246 -9,246 -9,295 -9,246 -10,116 -10,116 -10,116 -9,295 -9,295 -9,295 -9,903 -9,903 -9,903     
        net assets
      12,405,000,000 11,724,000,000 9,292 11,709,000,000 11,724 9,866,000,000 9,514  9,866 9,331 8,431 9,331 8,378,000,000 8,440 8,440 8,378 9,230 10,156 9,230 11,133 11,133 11,690 12,028 11,253 11,253 9,677 7,590 7,590 8,696 8,038 6,098 7,448 5,985 5,985 5,650 6,098 6,098 4,786 4,786 5,650 4,591 5,650 4,591 5,650 3,936 3,936 4,591 4,591 4,591 4,175 4,175 4,616 4,616 4,170 4,170 4,051 4,681 4,681 4,626 4,681 4,290 4,290 4,290 5,074 5,074 4,626 4,789 4,789 4,789     
        equity
                                                                               
        share capital
      887,000,000 893,000,000 712 898,000,000 893 719,000,000 723  719 737 741 737 742,000,000 742 742 742 743 753 743 767 767 789 797 797 797 797 797 797 797 797                                            
        share premium
      1,703,000,000 1,703,000,000 1,351 1,703,000,000 1,703 1,351,000,000 1,351  1,351 1,351 1,351 1,351 1,351,000,000 1,351 1,351 1,351 1,351 1,350 1,351 1,350 1,350 1,349 1,348 1,348 1,348 1,346 1,345 1,345 1,345 1,344 1,343 1,344   1,342 1,343 1,343 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342 1,342  1,341 1,342  1,340 1,337 1,340 1,340 1,340 1,340 1,337 1,337 1,337 1,339 1,339 1,339     
        other reserves
      -464,000,000 502,000,000 1,861 665,000,000 502 2,193,000,000 2,174  2,193 1,551 1,621 1,551 1,835,000,000 2,272 2,272 1,835 1,930 2,372 1,930 2,341 2,341 2,362 2,693 2,772 2,772 2,050 2,243 2,243 2,393 2,540 3,195 3,127   3,258 3,195 3,195 3,245 3,245 3,258 3,331 3,258 3,331 3,258 3,282 3,282 3,331 3,331 3,331 3,163 3,163 3,228 3,228  3,186 3,175  3,168 3,060 3,168 3,135 3,135 3,135 3,060 3,060 3,060 3,187 3,187 3,187     
        retained earnings
      8,158,000,000 6,693,000,000 3,898 6,590,000,000 6,693 3,876,000,000 3,550  3,876 4,019 3,184 4,019 2,890,000,000 2,407 2,407 2,890 3,499 3,886 3,499 4,908 4,908 5,422 5,475 4,557 4,557 3,946 2,438 2,438 2,693 2,405                             166     614 614 166        
        equity attributable to equity shareholders of the parent company
      10,284,000,000 9,791,000,000 7,822 9,856,000,000 9,791 8,139,000,000 7,798  8,139 7,658 6,897 7,658 6,818,000,000 6,772 6,772 6,818 7,523  7,523 9,366  9,922 10,313 9,474  8,139 6,823 6,823 7,228 7,086 5,133 6,327 5,245 5,245 4,886 5,133 5,133 4,007 4,007 4,886 3,867 4,886 3,867 4,886 3,221 3,221 3,867 3,867 3,867 3,498 3,498 3,742 3,742 3,972 3,972 3,844 4,502 4,502  4,502 4,101 4,101 4,101           
        non-controlling interests
      2,121,000,000 1,933,000,000 1,470 1,853,000,000 1,933 1,727,000,000 1,716  1,727 1,673 1,534 1,673 1,560,000,000 1,668 1,668 1,560 1,707 1,795 1,707 1,767 1,767 1,768 1,715 1,779 1,779 1,538 767 767 1,468 952 965 1,121 740 740 764 965 965 779 779 764 724 764 724 764   724 724 724                         
        total equity
      12,405,000,000 11,724,000,000 9,292 11,709,000,000 11,724 9,866,000,000 9,514  9,866 9,331 8,431 9,331 8,378,000,000 8,440 8,440 8,378 9,230 10,156 9,230 11,133 11,133 11,690 12,028 11,253 11,253 9,677 7,590 7,590 8,696 8,038 6,098 7,448 5,985 5,985 5,650 6,098 6,098 4,786 4,786 5,650 4,591 5,650 4,591 5,650 3,936 3,936 4,591 4,591 4,591 4,175 4,175 4,616 4,616 4,170 4,170 4,051 4,681 4,681 4,626 4,681 4,290 4,290 4,290 5,074 5,074 4,626 4,789 4,789 4,789     
        post employment benefit assets
       1,118,000,000 960 1,210,000,000 1,118 1,060,000,000 1,553  1,060 1,544 1,018 1,544 1,083,000,000 1,111 1,111 1,083 955 1,060 955 1,036 1,036 300 281 84 84 224 251 251 137 177 29 18   57 29 29 49 49 57 45 57 45 57 41 41 45 45 45 47 47 258 258  38 20  14 12 14 17 17 17 12 12 12 11 11 11     
        post employment benefit liabilities
       -471,000,000 -373 -471,000,000 -471 -381,000,000 -402  -381 -486 -574 -486 -815,000,000 -749 -749 -815 -753 -846 -753 -739 -739 -818 -772 -956 -956 -722 -726 -726 -925 -664 -1,067 -1,140   -892 -1,067 -1,067 -1,254 -1,254 -892 -1,100 -892 -1,100 -892 -1,424 -1,424 -1,100 -1,100 -1,100 -455 -455 -735 -735  -457 -405  -815 -1,306 -815 -776 -776 -776 -1,306 -1,306 -1,306 -1,110 -1,110 -1,110     
        the group’s more significant tax exposures and the appropriateness of any related provisions and financial statement disclosures.refer to page 44 of 'our principal risks and risk management' and note 7 of the financial statements.
                                                                               
        the appropriateness of the valuation of post employment liabilities, and the recognition of any surplus.refer to note 14 of the financial statements.
                                                                               
        significant legal matters impacting the group.refer to note 19 of the financial statements.
                                                                               
        accounting for business combinations.refer to note 8 of the financial statements.
                                                                               
        the application of hyperinflationary accounting in turkey.refer to note 1 of the financial statements.
                                                                               
        whether the annual report is fair, balanced and understandable.
                                                                               
        the impact of climate change on the group’s financial reporting and financial statements.refer to pages 58 to 65 of 'responding to climate-related risks' and note 1 and note 9 of the financial statements.
                                                                               
        corporate tax receivable
                   190        107                                                    
        corporate tax payable
                   -246        -300 -294 -469 -469 -294 -197 -197 -284 -276 -474 -418   -417 -474 -474 -391 -391 -417 -604 -417 -604 -417 -532 -532 -604 -604 -604 -685 -685 -750 -750  -673 -799  -681 -777 -681 -788 -788 -788 -746 -746 -777 -806 -806 -806     
        equity attributable to equity  shareholders of the parent company
                       8,361   9,366                                                     
        borrowing
                              -7,502                                                 
        equity attributable to equity   shareholders of the parent company
                              9,474                                                 
        investments in associates
                                   3,329 2,670 2,320   2,268 2,670 2,670 2,060 2,060 2,268 2,226 2,268 2,226 2,268 2,045 2,045 2,226 2,226 2,226 1,809 1,809 2,339 2,339  1,436 1,682  1,341 1,261 1,341 1,405 1,405 1,405 1,261 1,261 1,261 1,347 1,347 1,347     
        called up share capital
                                    797 797   797 797 797 797 797 797 797 797 797 797 797 797 797 797 797 816 816 797 797  848 832  883 883 883 868 868 868 883 883 883 883 883 883   897  
        retained deficit
                                    -202    -511 -202 -202 -1,377 -1,377 -511 -1,603 -511 -1,603 -511 -2,200 -2,200 -1,603 -1,603 -1,603 -1,823 -1,823 -1,625 -1,625  -1,403 -1,505  -889  -889 -1,242 -1,242 -1,242    -817 -817 -817     
        retained earnings/
                                     1,059                                          
        minority interests
                                                  715 715    677 677 874 874 198 198 207 179 179 167 179 189 189 189 167 167 167 197 197 197 205 491   
        treasury and own shares
                                                                -987     -987 -987 -987        
        equity attributable to equity shareholders of the company
                                                                4,459     4,907 4,907 4,459 4,592 4,592 4,592     
        total current assets
                                                                           6,316 6,014   
        brands
                                                                           6,954 7,074   
        goodwill
                                                                           3,190 3,112   
        other intangible assets
                                                                           68 80   
        other long term assets
                                                                           4,113 5,582   
        short term borrowings
                                                                           2,150 2,943   
        other current liabilities
                                                                           3,202 3,248   
        long term borrowings
                                                                           2,979 3,564   
        other long term liabilities
                                                                           3,751 4,115   
        shareholders’ equity
                                                                           10,295 9,392   
        total liabilities and shareholders’ equity
                                                                           22,582 23,753   
        fixed assets
                                                                               
        tangible assets
                                                                               
        investment in associates
                                                                               
        stocks
                                                                               
        debtors — due within one year
                                                                               
        debtors — due after one year
                                                                               
        cash at bank and liquid resources
                                                                               
        creditors — due within one year
                                                                               
        other creditors
                                                                               
        net current liabilities
                                                                             -392  
        total assets less current liabilities
                                                                             9,351  
        creditors — due after one year
                                                                               
        provisions for liabilities and charges
                                                                             -869  
        capital and reserves
                                                                               
        share premium account
                                                                               
        revaluation reserve
                                                                               
        capital redemption reserve
                                                                               
        profit and loss account
                                                                               
        reserves attributable to equity shareholders
                                                                             4,057  
        shareholders’ funds
                                                                             4,954  
        non-equity
                                                                               
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD