EXXON MOBIL CORP | 2013 | FY | 3


4.       Other Comprehensive Income Information

   Cumulative Post- Unrealized   
   Foreign retirement Change in   
   Exchange Benefits Fair Value   
ExxonMobil Share of Accumulated Other Translation Reserves on Cash   
Comprehensive IncomeAdjustment Adjustment Flow Hedges Total
   (millions of dollars)
Balance as of December 31, 20105,011  (9,889)   55  (4,823) 
Current period change excluding amounts reclassified           
 from accumulated other comprehensive income(843)  (4,557)  28  (5,372) 
Amounts reclassified from accumulated other           
 comprehensive income -  1,155  (83)  1,072 
Total change in accumulated other comprehensive income(843)  (3,402)  (55)  (4,300) 
Balance as of December 31, 20114,168  (13,291)   -  (9,123) 
              
Balance as of December 31, 20114,168  (13,291)   -  (9,123) 
Current period change excluding amounts reclassified           
 from accumulated other comprehensive income842  (3,402)   -  (2,560) 
Amounts reclassified from accumulated other           
 comprehensive income(2,600)  2,099   -  (501) 
Total change in accumulated other comprehensive income(1,758)  (1,303)   -  (3,061) 
Balance as of December 31, 20122,410  (14,594)   -  (12,184) 
              
Balance as of December 31, 20122,410  (14,594)   -  (12,184) 
Current period change excluding amounts reclassified           
 from accumulated other comprehensive income(3,233)  2,963   -  (270) 
Amounts reclassified from accumulated other           
 comprehensive income(23)  1,752   -  1,729 
Total change in accumulated other comprehensive income(3,256)  4,715   -  1,459 
Balance as of December 31, 2013(846)  (9,879)   -  (10,725) 

Amounts Reclassified Out of Accumulated Other      
Comprehensive Income - Before-tax Income/(Expense) 2013 2012 2011
    (millions of dollars)
Foreign exchange translation gain/(loss) included in net income      
 (Statement of Income line: Other income) 23 4,352  -
Amortization and settlement of postretirement benefits reserves      
 adjustment included in net periodic benefit costs (1)  (2,616) (3,621) (1,761)
Realized gain from settled cash flow hedges included in net income      
 (Statement of Income line: Sales and other operating revenue)  -  - 133

Income Tax (Expense)/Credit For     
Components of Other Comprehensive Income2013 2012 2011
   (millions of dollars)
Foreign exchange translation adjustment218 (236) 89
Postretirement benefits reserves adjustment     
 Postretirement benefits reserves adjustment (excluding amortization)(1,540) 1,619 2,039
 Amortization and settlement of postretirement benefits reserves     
  adjustment included in net periodic benefit costs(796) (1,226) (544)
Unrealized change in fair value on cash flow hedges     
 Change in fair value of cash flow hedges -  - (16)
 Settled cash flow hedges included in net income -  - 50
Total(2,118) 157 1,618

us-gaap:ComprehensiveIncomeNoteTextBlock