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

Equity - Additional Information (Details)

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Equity - Additional Information (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Disclosure Of Classes Of Share Capital [Line Items]      
Paid in share capital € 22,232 € 22,232  
Number of paid in capital shares 302,842,536 302,842,536  
Treasury shares 29,838,842 29,943,911  
Increase share capital € 22,232 € 22,232  
Conversion of shares into ordinary shares 105,069    
Cost of treasury shares € (27,079) (27,148)  
Reserve for actuarial gains/losses (67) (53)  
Cash flow hedge reserve (90) (1,029)  
Cost of hedging reserve (39) (90)  
Currency translation reserve (58,465) (12,578)  
Legal reserve 4,446 4,340  
Other reserves 109,193 88,328  
Retained earnings 736,949 652,995  
Net profit attributable to equity holders of the parent 139,839 117,778 € 145,631
Non-controlling interests 38 € 46  
Prior year net profit allocation to other reserves 18,982    
Accrual of fair value of personnel cost related to share-based incentive plans to other reserves 1,807    
Other movements to other reserves € 78    
Ordinary Shares      
Disclosure Of Classes Of Share Capital [Line Items]      
Number of paid in capital shares 49,709,718 49,604,649  
Class A Multiple Voting Shares      
Disclosure Of Classes Of Share Capital [Line Items]      
Number of paid in capital shares 253,132,818 253,237,887  
Reserve [Member]      
Disclosure Of Classes Of Share Capital [Line Items]      
Share premium € 559,565 € 559,565