Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Qualitative and Quantitative Information of Financial Risks - Impact of Hedging on Equity in Cash Flow Hedge Reserve (Details)

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Qualitative and Quantitative Information of Financial Risks - Impact of Hedging on Equity in Cash Flow Hedge Reserve (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Disclosure of nature and extent of risks arising from financial instruments [line items]    
As at January 1 € (5,371)  
As at 31 December 2,241 € 5,371
Foreign Currency Risk | Cash flow Hedge Reserve    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
As at January 1 (824)  
Foreign Exchange Forward 550 (1,084)
Tax effect (111) 260
As at 31 December (385) (824)
Foreign Currency Risk | Cost of Hedging Reserve    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
As at January 1 179  
Foreign Exchange Forward (126) 235
Tax effect 30 (56)
As at 31 December 83 179
Interest Rate Risk    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
As at January 1 (4,547) 1,277
Interest Rate Swap 3,522 (7,663)
Tax effect (845) 1,839
As at 31 December € (1,870) € (4,547)