34 ANNUAL REPORT 2012 CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY FOR THE YEARS ENDED DECEMBER 31 2012 AND 2011 Accumulated other comprehensive loss Actuarial Currency gains Cash Non Capital Contributed Retained translation and fow Shareholders controlling Total stock surplus earnings differences losses hedges equity interest equity Balance as at January 1 2012 291633 6027 192808 1966 2150 15 486337 3540 489877 Proft for the year 77978 77978 2963 80941 Other comprehensive income loss Currency translation differences 2057 2057 93 2150 Actuarial loss 839 839 839 Cash fow hedges 16 16 16 Taxes with respect to above items included in other comprehensive income 210 210 210 Total other comprehensive loss for the year 2057 629 16 2702 93 2795 Total comprehensive income loss for the year 77978 2057 629 16 75276 2870 78146 Dividends declared 15624 15624 15624 Granting of stock options 1231 1231 1231 Common shares purchased by the Trust of the longterm incentive plan LTIP 8435 8435 8435 Transfers by the Trust to settle LTIP obligations 4373 4373 4373 Balance as at December 31 2012 287571 7258 255162 4023 2779 31 543158 6410 549568