Below, you are given facts from the annual report for "A2A ENERGIA S.P.A." at the end of 2022. "Legal Form Of Entity" "en" 2022-01-01 - 2023-01-01: S.p.A. "Name Of Ultimate Parent Of Group" "en" 2022-01-01 - 2023-01-01: A2A S.p.A. "Principal Place Of Business" "en" 2022-01-01 - 2023-01-01: Italy "Country Of Incorporation" "en" 2022-01-01 - 2023-01-01: Italy "Domicile Of Entity" "en" 2022-01-01 - 2023-01-01: Italy "Property Plant And Equipment" 2023-01-01: 6162000000 EUR "Property Plant And Equipment" 2022-01-01: 5588000000 EUR "Intangible Assets And Goodwill" 2023-01-01: 3515000000 EUR "Intangible Assets And Goodwill" 2022-01-01: 3125000000 EUR "Investment Accounted For Using Equity Method" 2023-01-01: 33000000 EUR "Investment Accounted For Using Equity Method" 2022-01-01: 33000000 EUR "Other Noncurrent Financial Assets" 2023-01-01: 70000000 EUR "Other Noncurrent Financial Assets" 2022-01-01: 64000000 EUR "Net Deferred Tax Assets" 2023-01-01: 363000000 EUR "Net Deferred Tax Assets" 2022-01-01: 424000000 EUR "Other Noncurrent Assets" 2023-01-01: 86000000 EUR "Other Noncurrent Assets" 2022-01-01: 25000000 EUR "Noncurrent Assets" 2023-01-01: 10229000000 EUR "Noncurrent Assets" 2022-01-01: 9259000000 EUR "Inventories" 2023-01-01: 536000000 EUR "Inventories" 2022-01-01: 204000000 EUR "Current Trade Receivables" 2023-01-01: 4680000000 EUR "Current Trade Receivables" 2022-01-01: 3291000000 EUR "Other Current Nonfinancial Assets" 2023-01-01: 3289000000 EUR "Other Current Nonfinancial Assets" 2022-01-01: 4051000000 EUR "Other Current Financial Assets" 2023-01-01: 14000000 EUR "Other Current Financial Assets" 2022-01-01: 9000000 EUR "Current Tax Assets Current" 2023-01-01: 35000000 EUR "Current Tax Assets Current" 2022-01-01: 68000000 EUR "Cash And Cash Equivalents" 2023-01-01: 2584000000 EUR "Cash And Cash Equivalents" 2022-01-01: 964000000 EUR "Current Assets Other Than Assets Or Disposal Groups Classified As Held For Sale Or As Held For Distribution To Owners" 2023-01-01: 11138000000 EUR "Current Assets Other Than Assets Or Disposal Groups Classified As Held For Sale Or As Held For Distribution To Owners" 2022-01-01: 8587000000 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2023-01-01: 0 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2022-01-01: 162000000 EUR "Assets" 2023-01-01: 21367000000 EUR "Assets" 2022-01-01: 18008000000 EUR "Issued Capital" 2023-01-01: 1629000000 EUR "Issued Capital" 2022-01-01: 1629000000 EUR "Reserves" 2023-01-01: 1869000000 EUR "Reserves" 2022-01-01: 1627000000 EUR "Result Of The Year" 2023-01-01: 401000000 EUR "Result Of The Year" 2022-01-01: 504000000 EUR "Equity Attributable To Owners Of Parent" 2023-01-01: 3899000000 EUR "Equity Attributable To Owners Of Parent" 2022-01-01: 3760000000 EUR "Noncontrolling Interests" 2023-01-01: 568000000 EUR "Noncontrolling Interests" 2022-01-01: 543000000 EUR "Equity" 2023-01-01: 4467000000 EUR "Equity" 2022-01-01: 4303000000 EUR "Other Noncurrent Financial Liabilities" 2023-01-01: 5867000000 EUR "Other Noncurrent Financial Liabilities" 2022-01-01: 4322000000 EUR "Noncurrent Provisions For Employee Benefits" 2023-01-01: 248000000 EUR "Noncurrent Provisions For Employee Benefits" 2022-01-01: 294000000 EUR "Other Longterm Provisions" 2023-01-01: 729000000 EUR "Other Longterm Provisions" 2022-01-01: 797000000 EUR "Other Noncurrent Liabilities" 2023-01-01: 370000000 EUR "Other Noncurrent Liabilities" 2022-01-01: 129000000 EUR "Noncurrent Liabilities" 2023-01-01: 7214000000 EUR "Noncurrent Liabilities" 2022-01-01: 5542000000 EUR "Trade And Other Current Payables To Trade Suppliers" 2023-01-01: 5524000000 EUR "Trade And Other Current Payables To Trade Suppliers" 2022-01-01: 2894000000 EUR "Other Current Nonfinancial Liabilities" 2023-01-01: 3006000000 EUR "Other Current Nonfinancial Liabilities" 2022-01-01: 4487000000 EUR "Other Current Financial Liabilities" 2023-01-01: 1022000000 EUR "Other Current Financial Liabilities" 2022-01-01: 746000000 EUR "Current Tax Liabilities Current" 2023-01-01: 134000000 EUR "Current Tax Liabilities Current" 2022-01-01: 21000000 EUR "Current Liabilities Other Than Liabilities Included In Disposal Groups Classified As Held For Sale" 2023-01-01: 9686000000 EUR "Current Liabilities Other Than Liabilities Included In Disposal Groups Classified As Held For Sale" 2022-01-01: 8148000000 EUR "Liabilities" 2023-01-01: 16900000000 EUR "Liabilities" 2022-01-01: 13690000000 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2023-01-01: 0 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2022-01-01: 15000000 EUR "Equity And Liabilities" 2023-01-01: 21367000000 EUR "Equity And Liabilities" 2022-01-01: 18008000000 EUR "Revenue From Contracts With Customers" 2022-01-01 - 2023-01-01: 22946000000 EUR "Revenue From Contracts With Customers" 2021-01-01 - 2022-01-01: 11352000000 EUR "Other Revenue" 2022-01-01 - 2023-01-01: 220000000 EUR "Other Revenue" 2021-01-01 - 2022-01-01: 197000000 EUR "Revenue" 2022-01-01 - 2023-01-01: 23166000000 EUR "Revenue" 2021-01-01 - 2022-01-01: 11549000000 EUR "Raw Materials And Consumables Used" 2022-01-01 - 2023-01-01: 20502000000 EUR "Raw Materials And Consumables Used" 2021-01-01 - 2022-01-01: 9088000000 EUR "Other Expense By Nature" 2022-01-01 - 2023-01-01: 394000000 EUR "Other Expense By Nature" 2021-01-01 - 2022-01-01: 312000000 EUR "Operating Expense" 2022-01-01 - 2023-01-01: 20896000000 EUR "Operating Expense" 2021-01-01 - 2022-01-01: 9400000000 EUR "Employee Benefits Expense" 2022-01-01 - 2023-01-01: 765000000 EUR "Employee Benefits Expense" 2021-01-01 - 2022-01-01: 721000000 EUR "Gross Operating Income EBITDA" 2022-01-01 - 2023-01-01: 1505000000 EUR "Gross Operating Income EBITDA" 2021-01-01 - 2022-01-01: 1428000000 EUR "Depreciation Amortization Provisions And Writedowns" 2022-01-01 - 2023-01-01: 818000000 EUR "Depreciation Amortization Provisions And Writedowns" 2021-01-01 - 2022-01-01: 768000000 EUR "Profit Loss From Operating Activities" 2022-01-01 - 2023-01-01: 687000000 EUR "Profit Loss From Operating Activities" 2021-01-01 - 2022-01-01: 660000000 EUR "Result From Nonrecurring Transactions" 2022-01-01 - 2023-01-01: 157000000 EUR "Result From Nonrecurring Transactions" 2021-01-01 - 2022-01-01: 0 EUR "Finance Income" 2022-01-01 - 2023-01-01: 35000000 EUR "Finance Income" 2021-01-01 - 2022-01-01: 17000000 EUR "Finance Costs" 2022-01-01 - 2023-01-01: 125000000 EUR "Finance Costs" 2021-01-01 - 2022-01-01: 89000000 EUR "Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method" 2022-01-01 - 2023-01-01: 2000000 EUR "Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method" 2021-01-01 - 2022-01-01: 2000000 EUR "Other Income Expense From Subsidiaries Jointly Controlled Entities And Associates" 2022-01-01 - 2023-01-01: 0 EUR "Other Income Expense From Subsidiaries Jointly Controlled Entities And Associates" 2021-01-01 - 2022-01-01: 0 EUR "Total Financial Balance" 2022-01-01 - 2023-01-01: -88000000 EUR "Total Financial Balance" 2021-01-01 - 2022-01-01: -70000000 EUR "Profit Loss Before Tax" 2022-01-01 - 2023-01-01: 756000000 EUR "Profit Loss Before Tax" 2021-01-01 - 2022-01-01: 590000000 EUR "Income Tax Expense Continuing Operations" 2022-01-01 - 2023-01-01: 344000000 EUR "Income Tax Expense Continuing Operations" 2021-01-01 - 2022-01-01: 36000000 EUR "Profit Loss From Continuing Operations" 2022-01-01 - 2023-01-01: 412000000 EUR "Profit Loss From Continuing Operations" 2021-01-01 - 2022-01-01: 554000000 EUR "Profit Loss From Discontinued Operations" 2022-01-01 - 2023-01-01: 36000000 EUR "Profit Loss From Discontinued Operations" 2021-01-01 - 2022-01-01: -4000000 EUR "Profit Loss" 2022-01-01 - 2023-01-01: 448000000 EUR "Profit Loss" 2021-01-01 - 2022-01-01: 550000000 EUR "Profit Loss Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: -47000000 EUR "Profit Loss Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: -46000000 EUR "Profit Loss Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 401000000 EUR "Profit Loss Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 504000000 EUR "Basic Earnings Loss Per Share" 2022-01-01 - 2023-01-01: 0.1281 EUR/shares "Basic Earnings Loss Per Share" 2021-01-01 - 2022-01-01: 0.1639 EUR/shares "Basic Earnings Loss Per Share From Continuing Operations" 2022-01-01 - 2023-01-01: 0.1167 EUR/shares "Basic Earnings Loss Per Share From Continuing Operations" 2021-01-01 - 2022-01-01: 0.1651 EUR/shares "Basic Earnings Loss Per Share From Discontinued Operations" 2022-01-01 - 2023-01-01: 0.0114 EUR/shares "Basic Earnings Loss Per Share From Discontinued Operations" 2021-01-01 - 2022-01-01: -0.0012 EUR/shares "Diluted Earnings Loss Per Share" 2022-01-01 - 2023-01-01: 0.1281 EUR/shares "Diluted Earnings Loss Per Share" 2021-01-01 - 2022-01-01: 0.1639 EUR/shares "Diluted Earnings Loss Per Share From Continuing Operations" 2022-01-01 - 2023-01-01: 0.1167 EUR/shares "Diluted Earnings Loss Per Share From Continuing Operations" 2021-01-01 - 2022-01-01: 0.1651 EUR/shares "Diluted Earnings Loss Per Share From Discontinued Operations" 2022-01-01 - 2023-01-01: 0.0114 EUR/shares "Diluted Earnings Loss Per Share From Discontinued Operations" 2021-01-01 - 2022-01-01: -0.0012 EUR/shares "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2022-01-01 - 2023-01-01: 31000000 EUR "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2021-01-01 - 2022-01-01: -38000000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: 9000000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: -11000000 EUR "Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2022-01-01 - 2023-01-01: 22000000 EUR "Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2021-01-01 - 2022-01-01: -27000000 EUR "Gains Losses On Cash Flow Hedges Before Tax" 2022-01-01 - 2023-01-01: -1000000 EUR "Gains Losses On Cash Flow Hedges Before Tax" 2021-01-01 - 2022-01-01: 47000000 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: -0 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 13000000 EUR "Other Comprehensive Income Net Of Tax Cash Flow Hedges" 2022-01-01 - 2023-01-01: -1000000 EUR "Other Comprehensive Income Net Of Tax Cash Flow Hedges" 2021-01-01 - 2022-01-01: 34000000 EUR "Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments" 2022-01-01 - 2023-01-01: 0 EUR "Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" 2022-01-01 - 2023-01-01: 469000000 EUR "Comprehensive Income" 2021-01-01 - 2022-01-01: 557000000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 422000000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 511000000 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: -47000000 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: -46000000 EUR "Cash And Cash Equivalents" 2021-01-01: 1012000000 EUR "Adjustments For Income Tax Expense" 2022-01-01 - 2023-01-01: 344000000 EUR "Adjustments For Income Tax Expense" 2021-01-01 - 2022-01-01: 36000000 EUR "Net Financial Interests" 2022-01-01 - 2023-01-01: 90000000 EUR "Net Financial Interests" 2021-01-01 - 2022-01-01: 72000000 EUR "Adjustments For Losses Gains On Disposal Of Noncurrent Assets" 2022-01-01 - 2023-01-01: -191000000 EUR "Adjustments For Losses Gains On Disposal Of Noncurrent Assets" 2021-01-01 - 2022-01-01: 0 EUR "Depreciation Expense" 2022-01-01 - 2023-01-01: 491000000 EUR "Depreciation Expense" 2021-01-01 - 2022-01-01: 465000000 EUR "Amortisation Expense" 2022-01-01 - 2023-01-01: 233000000 EUR "Amortisation Expense" 2021-01-01 - 2022-01-01: 201000000 EUR "Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss" 2022-01-01 - 2023-01-01: 10000000 EUR "Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss" 2021-01-01 - 2022-01-01: 19000000 EUR "Adjustments For Provisions" 2022-01-01 - 2023-01-01: 92000000 EUR "Adjustments For Provisions" 2021-01-01 - 2022-01-01: 89000000 EUR "Adjustments For Undistributed Profits Of Associates" 2022-01-01 - 2023-01-01: -2000000 EUR "Adjustments For Undistributed Profits Of Associates" 2021-01-01 - 2022-01-01: -2000000 EUR "Interest Paid Classified As Operating Activities" 2022-01-01 - 2023-01-01: 75000000 EUR "Interest Paid Classified As Operating Activities" 2021-01-01 - 2022-01-01: 80000000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2022-01-01 - 2023-01-01: 201000000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2021-01-01 - 2022-01-01: 165000000 EUR "Dividends Paid Classified As Operating Activities" 2022-01-01 - 2023-01-01: 302000000 EUR "Dividends Paid Classified As Operating Activities" 2021-01-01 - 2022-01-01: 263000000 EUR "Adjustments For Decrease Increase In Trade Account Receivable" 2022-01-01 - 2023-01-01: -1420000000 EUR "Adjustments For Decrease Increase In Trade Account Receivable" 2021-01-01 - 2022-01-01: -1285000000 EUR "Adjustments For Increase Decrease In Trade Account Payable" 2022-01-01 - 2023-01-01: 2587000000 EUR "Adjustments For Increase Decrease In Trade Account Payable" 2021-01-01 - 2022-01-01: 1329000000 EUR "Adjustments For Decrease Increase In Inventories" 2022-01-01 - 2023-01-01: -332000000 EUR "Adjustments For Decrease Increase In Inventories" 2021-01-01 - 2022-01-01: -56000000 EUR "Other Adjustments For Noncash Items" 2022-01-01 - 2023-01-01: -512000000 EUR "Other Adjustments For Noncash Items" 2021-01-01 - 2022-01-01: 225000000 EUR "Cash Flows From Used In Operating Activities" 2022-01-01 - 2023-01-01: 1260000000 EUR "Cash Flows From Used In Operating Activities" 2021-01-01 - 2022-01-01: 1135000000 EUR "Purchase Of Property Plant And Equipment Classified As Investing Activities" 2022-01-01 - 2023-01-01: 856000000 EUR "Purchase Of Property Plant And Equipment Classified As Investing Activities" 2021-01-01 - 2022-01-01: 714000000 EUR "Purchase Of Intangible Assets Classified As Investing Activities" 2022-01-01 - 2023-01-01: 384000000 EUR "Purchase Of Intangible Assets Classified As Investing Activities" 2021-01-01 - 2022-01-01: 360000000 EUR "Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities" 2022-01-01 - 2023-01-01: 497000000 EUR "Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities" 2021-01-01 - 2022-01-01: 444000000 EUR "Contribution Of First Consolidation Of Acquisitions On Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 180000000 EUR "Contribution Of First Consolidation Of Acquisitions On Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: 27000000 EUR "Disposal Of Fixed Assets And Shareholdings" 2022-01-01 - 2023-01-01: 413000000 EUR "Disposal Of Fixed Assets And Shareholdings" 2021-01-01 - 2022-01-01: 5000000 EUR "Dividends Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: 2000000 EUR "Dividends Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 0 EUR "Purchase Of Treasury Shares" 2022-01-01 - 2023-01-01: 0 EUR "Purchase Of Treasury Shares" 2021-01-01 - 2022-01-01: -109000000 EUR "Cash Flows From Used In Investing Activities" 2022-01-01 - 2023-01-01: -1142000000 EUR "Cash Flows From Used In Investing Activities" 2021-01-01 - 2022-01-01: -1595000000 EUR "Free Cash Flow" 2022-01-01 - 2023-01-01: 118000000 EUR "Free Cash Flow" 2021-01-01 - 2022-01-01: -460000000 EUR "Issuance Of Loans" 2022-01-01 - 2023-01-01: 0 EUR "Issuance Of Loans" 2021-01-01 - 2022-01-01: -6000000 EUR "Proceeds From Loans" 2022-01-01 - 2023-01-01: -3000000 EUR "Proceeds From Loans" 2021-01-01 - 2022-01-01: 5000000 EUR "Other Changes Financial Assets" 2022-01-01 - 2023-01-01: 2000000 EUR "Other Changes Financial Assets" 2021-01-01 - 2022-01-01: 2000000 EUR "Total Changes In Financial Assets" 2022-01-01 - 2023-01-01: -1000000 EUR "Total Changes In Financial Assets" 2021-01-01 - 2022-01-01: 1000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 4339000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 1147000000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 2779000000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 725000000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2022-01-01 - 2023-01-01: 11000000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2021-01-01 - 2022-01-01: 2000000 EUR "Other Changes Financial Liabilities" 2022-01-01 - 2023-01-01: -46000000 EUR "Other Changes Financial Liabilities" 2021-01-01 - 2022-01-01: -9000000 EUR "Total Changes In Financial Liabilities" 2022-01-01 - 2023-01-01: 1503000000 EUR "Total Changes In Financial Liabilities" 2021-01-01 - 2022-01-01: 411000000 EUR "Cash Flows From Used In Financing Activities" 2022-01-01 - 2023-01-01: 1502000000 EUR "Cash Flows From Used In Financing Activities" 2021-01-01 - 2022-01-01: 412000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 1620000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: -48000000 EUR "Equity" "Issued Capital Member" 2021-01-01: 1629000000 EUR "Equity" "Treasury Shares Member" 2021-01-01: -54000000 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2021-01-01: -6000000 EUR "Equity" "Other Reserves And Retained Earnings Member" 2021-01-01: 1604000000 EUR "Equity" "Profit Loss Attributable To Owners Of Parent Member" 2021-01-01: 364000000 EUR "Equity" "Equity Attributable To Owners Of Parent Member" 2021-01-01: 3537000000 EUR "Equity" "Noncontrolling Interests Member" 2021-01-01: 579000000 EUR "Equity" 2021-01-01: 4116000000 EUR "Prior Year Result Allocation" "Other Reserves And Retained Earnings Member" 2021-01-01 - 2022-01-01: 364000000 EUR "Prior Year Result Allocation" "Profit Loss Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: -364000000 EUR "Prior Year Result Allocation" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: 0 EUR "Prior Year Result Allocation" 2021-01-01 - 2022-01-01: 0 EUR "Dividends Paid" "Other Reserves And Retained Earnings Member" 2021-01-01 - 2022-01-01: 248000000 EUR "Dividends Paid" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: 248000000 EUR "Dividends Paid" "Noncontrolling Interests Member" 2021-01-01 - 2022-01-01: 15000000 EUR "Dividends Paid" 2021-01-01 - 2022-01-01: 263000000 EUR "IAS19Reserves" "Other Reserves And Retained Earnings Member" 2021-01-01 - 2022-01-01: -27000000 EUR "IAS19Reserves" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: -27000000 EUR "IAS19Reserves" 2021-01-01 - 2022-01-01: -27000000 EUR "Cash Flow Hedge Reserves" "Reserve Of Cash Flow Hedges Member" 2021-01-01 - 2022-01-01: 34000000 EUR "Cash Flow Hedge Reserves" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: 34000000 EUR "Cash Flow Hedge Reserves" 2021-01-01 - 2022-01-01: 34000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Treasury Shares Member" 2021-01-01 - 2022-01-01: 54000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Other Reserves And Retained Earnings Member" 2021-01-01 - 2022-01-01: -94000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: -40000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Noncontrolling Interests Member" 2021-01-01 - 2022-01-01: -67000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" 2021-01-01 - 2022-01-01: -107000000 EUR "Profit Loss" "Profit Loss Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: 504000000 EUR "Profit Loss" "Equity Attributable To Owners Of Parent Member" 2021-01-01 - 2022-01-01: 504000000 EUR "Profit Loss" "Noncontrolling Interests Member" 2021-01-01 - 2022-01-01: 46000000 EUR "Equity" "Issued Capital Member" 2022-01-01: 1629000000 EUR "Equity" "Treasury Shares Member" 2022-01-01: 0 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2022-01-01: 28000000 EUR "Equity" "Other Reserves And Retained Earnings Member" 2022-01-01: 1599000000 EUR "Equity" "Profit Loss Attributable To Owners Of Parent Member" 2022-01-01: 504000000 EUR "Equity" "Equity Attributable To Owners Of Parent Member" 2022-01-01: 3760000000 EUR "Equity" "Noncontrolling Interests Member" 2022-01-01: 543000000 EUR "Prior Year Result Allocation" "Other Reserves And Retained Earnings Member" 2022-01-01 - 2023-01-01: 504000000 EUR "Prior Year Result Allocation" "Profit Loss Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: -504000000 EUR "Prior Year Result Allocation" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 0 EUR "Prior Year Result Allocation" 2022-01-01 - 2023-01-01: 0 EUR "Dividends Paid" "Other Reserves And Retained Earnings Member" 2022-01-01 - 2023-01-01: 283000000 EUR "Dividends Paid" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 283000000 EUR "Dividends Paid" "Noncontrolling Interests Member" 2022-01-01 - 2023-01-01: 19000000 EUR "Dividends Paid" 2022-01-01 - 2023-01-01: 302000000 EUR "IAS19Reserves" "Other Reserves And Retained Earnings Member" 2022-01-01 - 2023-01-01: 22000000 EUR "IAS19Reserves" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 22000000 EUR "IAS19Reserves" 2022-01-01 - 2023-01-01: 22000000 EUR "Cash Flow Hedge Reserves" "Reserve Of Cash Flow Hedges Member" 2022-01-01 - 2023-01-01: -1000000 EUR "Cash Flow Hedge Reserves" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: -1000000 EUR "Cash Flow Hedge Reserves" 2022-01-01 - 2023-01-01: -1000000 EUR "Variations Of Perimeter Of Consolidation" "Reserve Of Cash Flow Hedges Member" 2022-01-01 - 2023-01-01: 3000000 EUR "Variations Of Perimeter Of Consolidation" "Other Reserves And Retained Earnings Member" 2022-01-01 - 2023-01-01: -3000000 EUR "Variations Of Perimeter Of Consolidation" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 0 EUR "Variations Of Perimeter Of Consolidation" "Noncontrolling Interests Member" 2022-01-01 - 2023-01-01: -3000000 EUR "Variations Of Perimeter Of Consolidation" 2022-01-01 - 2023-01-01: -3000000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" 2022-01-01 - 2023-01-01: 0 EUR "Profit Loss" "Profit Loss Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 401000000 EUR "Profit Loss" "Equity Attributable To Owners Of Parent Member" 2022-01-01 - 2023-01-01: 401000000 EUR "Profit Loss" "Noncontrolling Interests Member" 2022-01-01 - 2023-01-01: 47000000 EUR "Equity" "Issued Capital Member" 2023-01-01: 1629000000 EUR "Equity" "Treasury Shares Member" 2023-01-01: 0 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2023-01-01: 30000000 EUR "Equity" "Other Reserves And Retained Earnings Member" 2023-01-01: 1839000000 EUR "Equity" "Profit Loss Attributable To Owners Of Parent Member" 2023-01-01: 401000000 EUR "Equity" "Equity Attributable To Owners Of Parent Member" 2023-01-01: 3899000000 EUR "Equity" "Noncontrolling Interests Member" 2023-01-01: 568000000 EUR "Name Of Reporting Entity Or Other Means Of Identification" "en" 2022-01-01 - 2023-01-01: A2A S.p.A. "Name Of Parent Entity" "en" 2022-01-01 - 2023-01-01: Municipalities of Milan and Brescia "Address Of Registered Office Of Entity" "en" 2022-01-01 - 2023-01-01: Brescia in Via Lamarmora 230 Based on this, assess whether this company is suitable to issue hybrid bonds. Options are: Strongly Suitable, Marginally Suitable, Not Suitable, or Insufficient Data. Start with your reasoning. At the end, give your final answer on a single line between XML tags with no markdown fences, no units, and no prose. This final line will be one of: Strongly Suitable Marginally Suitable Not Suitable Insufficient Data