Restated 1)  | |||
USD millions  | Notes  | 2024  | 2023 | 
Revenue  | 2.1, 2.3  | ||
| Other income and commodity derivative gain/(loss) | 2.2, 4.9  | ||
Revenue and other income  | |||
| Raw materials, energy costs and freight expenses | 2.4, 4.9  | (  | (  | 
Change in inventories of own products  | (  | ||
| Payroll and related costs | 2.5, 7.3, 5.3  | (  | (  | 
| Depreciation and amortization | 4.1, 4.2, 4.5  | (  | (  | 
| Impairment loss | 4.7  | (  | (  | 
| Expected and realized credit loss on trade receivables | 3.2  | (  | (  | 
| Other operating expenses | 2.6, 4.9, 7.4  | (  | (  | 
Operating costs and expenses  | (  | (  | |
Operating income/(loss)  | |||
| Share of net income/(loss) in equity-accounted investees | 4.3  | ||
| Interest income and other financial income | 2.7  | ||
| Foreign currency exchange gain/(loss) | 2.7, 6.1  | (  | (  | 
| Interest expense and other financial items | 2.7  | (  | (  | 
Income/(loss) before tax  | |||
| Income tax expense | 2.8  | (  | (  | 
Net income/(loss)  | 
Restated 1)  | |||
USD millions, except share information  | Notes  | 2024  | 2023 | 
Net income/(loss) attributable to Shareholders of the parent  | |||
Non-controlling interests  | |||
Net income/(loss)  | |||
Basic earnings/(loss) per share  | |||
Diluted earnings/(loss) per share 2)  | |||
| Weighted average number of shares outstanding | 5.1  | 
USD millions  | Notes  | 2024  | 2023  | 
Net income/(loss)  | |||
| Other comprehensive income/(loss) that may be reclassified to statement of income in subsequent periods, net of tax | |||
Currency translation adjustments  | (  | ||
| Hedge of net investments | 2.8, 6.2  | (  | (  | 
Net other comprehensive income/(loss) that may be reclassified to statement of income in subsequent periods, net of tax  | (  | ||
| Other comprehensive income/(loss) that will not be reclassified to statement of income in subsequent periods, net of tax | |||
Currency translation adjustments 1)  | (  | ||
| Net gain/(loss) on equity instruments at fair value through other comprehensive income | 6.3  | (  | |
| Remeasurement gains/(losses) on defined benefit plans | 2.8, 5.3  | ||
Net other comprehensive income/(loss) that will not be reclassified to statement of income in subsequent periods, net of tax  | (  | ||
Total other comprehensive income/(loss), net of tax  | (  | ||
Total comprehensive income/(loss)  | (  | ||
Total comprehensive income/(loss) attributable to Shareholders of the parent  | (  | ||
Non-controlling interests  | (  | ||
Total comprehensive income/(loss)  | (  | 
| Fair value | ||||||||||||
| Premium | Currency | reserve of | Other | Attributable to | ||||||||
| paid-in | translation | financial assets | Hedge of net | components | Total other | Retained | share holders of | Non-controlling | Total | |||
USD millions  | Notes  | Share Capital 1)  | capital | adjustments | at FVOCI | investments | of equity 2)  | reserves | earnings | the parent | interests | equity | 
Balance at 31 December 2022  | (  | (  | (  | (  | (  | |||||||
Net income/(loss)  | ||||||||||||
Total other comprehensive income/(loss)  | (  | (  | (  | |||||||||
Total comprehensive income/(loss)  | (  | (  | ||||||||||
Transactions with non-controlling interests  | ||||||||||||
| Dividends distributed | 5.1  | (  | (  | (  | (  | |||||||
Balance at 31 December 2023  | (  | (  | (  | (  | (  | (  | ||||||
Net income/(loss)  | ||||||||||||
Total other comprehensive income/(loss)  | (  | (  | (  | (  | (  | (  | ||||||
Total comprehensive income/(loss)  | (  | (  | (  | (  | (  | (  | ||||||
| Dividends distributed | 5.1  | (  | (  | (  | (  | |||||||
Balance at 31 December 2024  | (  | (  | (  | (  | (  | 
USD millions  | Notes  | 31 Dec 2024  | 31 Dec 2023  | 
| Assets | |||
| Non-current assets | |||
| Deferred tax assets | 2.8  | ||
| Goodwill | 4.2, 4.7  | ||
| Intangible assets other than goodwill | 4.2  | ||
| Property, plant and equipment | 4.1, 4.7, 4.9  | ||
| Right-of-use assets | 4.5  | ||
| Associated companies and joint ventures | 4.3  | ||
| Other non-current financial assets | 4.6  | ||
| Other non-current non-financial assets | 4.6, 4.9  | ||
Total non-current assets  | |||
| Current assets | |||
| Inventories | 3.1  | ||
| Trade receivables | 3.2  | ||
| Other current financial assets | 3.3  | ||
| Prepaid expenses and other current non-financial assets | 3.3  | ||
| Cash and cash equivalents | 3.4  | ||
| Non-current assets and disposal group classified as held for sale | 7.1  | ||
Total current assets  | |||
Total assets  | 
USD millions  | Notes  | 31 Dec 2024  | 31 Dec 2023  | 
| Equity and liabilities | |||
| Equity | |||
| Share capital | 5.1  | ||
Premium paid-in capital  | (  | (  | |
Total paid-in capital  | |||
Other reserves  | (  | (  | |
Retained earnings  | |||
Total equity attributable to shareholders of the parent  | |||
Non-controlling interests  | |||
Total equity  | |||
| Non-current liabilities | |||
| Employee benefits | 5.3  | ||
| Deferred tax liabilities | 2.8  | ||
| Interest-bearing debt | 5.2  | ||
| Other non-current financial liabilities | 6.3  | ||
Other non-current non-financial liabilities  | |||
| Non-current provisions | 5.5  | ||
| Non-current lease liabilities | 4.5  | ||
Total non-current liabilities  | 
USD millions, except share information  | Notes  | 31 Dec 2024  | 31 Dec 2023  | 
| Current liabilities | |||
| Trade and other current payables | 5.4  | ||
| Prepayments from customers | 2.1  | ||
| Current tax liabilities | 2.8  | ||
| Current provisions | 5.5  | ||
| Other current financial liabilities | 6.3  | ||
Other current non-financial liabilities  | |||
| Interest-bearing debt | 5.2  | ||
| Current lease liabilities | 4.5  | ||
| Liabilities associated with non-current assets and disposal group | |||
| classified as held for sale | 7.1  | ||
Total current liabilities  | |||
Total equity and liabilities  | |||
| Number of shares outstanding | 5.1  | 
USD millions   | Notes   | 2024   | 2023   | 
| Operating activities | |||
Income/(loss) before tax   | |||
| Adjustments to reconcile income/(loss) before tax to net | |||
| cash provided by/(used in) operating activities | |||
| Depreciation and amortization | 4.1, 4.2, 4.5   | ||
| Impairment loss | 4.7   | ||
Write-down of inventory and trade receivables   | (  | (  | |
| (Gain)/loss on disposal of non-current assets | 4.1, 4.2   | (  | (  | 
Foreign currency exchange (gain)/loss   | |||
Finance income and expense 1)   | |||
Income taxes paid   | (  | (  | |
| Dividends | 4.3   | ||
Interest paid 2)   | (  | (  | |
Interest received 1)   | |||
Other  Working capital changes that provided/(used) cash   | 5.3   | (  | |
Trade receivables   | |||
Inventories   | (  | ||
Prepaid expenses and other current assets   | |||
Trade and other payables   | (  | (  | |
Prepaid from customers   | (  | ||
Other interest-free liabilities   | (  | (  | |
Net cash provided by/(used in) operating activities   | 
USD millions   | Notes   | 2024   | 2023   | 
| Investing activities | |||
| Purchase of property, plant and equipment | 4.1   | (  | (  | 
Proceeds from sales of property, plant and equipment   | |||
Disposal of subsidiaries, net of cash transferred   | (  | ||
Acquisition of subsidiaries, net of cash acquired   | (  | (  | |
| Purchase of other non-current assets | 4.2   | (  | (  | 
| Proceeds from sales of other non-current assets | 4.3   | ||
Net cash provided by/(used in) investing activities   | (  | (  | |
| Financing activities | |||
Loan proceeds 3)   | 5.2   | ||
Principal payments 3)   | 5.2   | (  | (  | 
| Payment of lease liabilities | 4.5   | (  | (  | 
| Dividends paid | 5.1   | (  | (  | 
Other inflows/(outflows) of cash   | (  | ||
Net cash provided by/(used in) financing activities   | (  | (  | |
Foreign currency effects on cash and cash equivalents   | (  | (  | |
Net increase/(decrease) in cash and cash equivalents   | (  | (  | |
Cash and cash equivalents at 1 January   | |||
Cash and cash equivalents at 31 December 4)   | 3.4   | ||
Of which cash and cash equivalents in assets held for sale at 31 December   | |||
Cash and cash equivalents in continuing operations at 31 December   | |||
| Bank deposits not available for the use by the Group | 3.4   |