Annual and transition report of foreign private issuers [Sections 13 or 15(d)]

Consolidated statement of comprehensive income

v3.25.4
Consolidated statement of comprehensive income - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Statement of comprehensive income [abstract]      
Net Profit € 139,831 € 117,766 € 145,690
Gains/(losses) from remeasurement of employee defined benefit plans 31 225 (243)
Gains/(losses) from remeasurement of the agent termination plan 33 16 15
Tax effect relating to those components of OCI (78) (7) 15
Other comprehensive income (loss) that will not be classified subsequently to profit or loss (14) 234 (213)
Exchange difference on translation of foreign operations (45,888) (1,602) 4,604
Changes in the fair value of cash flow hedging instruments 1,304 (4,387) (4,092)
Changes in the time value element - cost of hedge 66 (9) 126
Tax effect relating to those components of OCI (380) 1,119 932
Other comprehensive income that might be classified subsequently to profit or loss (44,898) (4,879) 1,570
Total other comprehensive income, net of tax (44,912) (4,645) 1,357
Total Comprehensive Income 94,919 113,121 147,047
Attributable to:      
Equity holders of the parent 94,927 113,133 147,019
Non-controlling interests (8) (12) 28
Total Comprehensive Income € 94,919 € 113,121 € 147,047