P7. Other comprehensive income

Other comprehensive income was distributed as follows.

SEK in millions

Equity component

Jan–Dec 2016

Jan–Dec 2015

Cash flow hedges

     

Net changes in fair value

Fair value reserve

214

621

Transferred to finance costs in net income

Fair value reserve

-343

-7

Income tax effect

Fair value reserve

28

-136

Total cash flow hedges

 

-100

478

Available-for-sale financial instruments

     

Net changes in fair value

Fair value reserve

134

-2

Transferred to finance costs in net income

Fair value reserve

0

0

Tax effect

Fair value reserve

-29

6

Total available-for-sale financial instruments

 

105

4

Total other comprehensive income

 

5

482

of which total income tax effects (see also Note P6)

 

-1

-130