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

Provisions - Summary of Provisions (Details)

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Provisions - Summary of Provisions (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Disclosure Of Other Provisions [Line Items]    
Beginning Balance € 6,932 € 5,038
Accrued during the period 2,848 2,901
Utilization (1,676) (1,171)
Releases (21) (78)
Exchange rate differences (527) 242
Ending Balance 7,556 6,932
Current 4,394 4,139
Non-current 3,162 2,793
Provision For Warranty    
Disclosure Of Other Provisions [Line Items]    
Beginning Balance 2,157 1,429
Accrued during the period 2,351 1,857
Utilization (1,633) (1,129)
Releases 0 0
Exchange rate differences (3) 0
Ending Balance 2,872 2,157
Current 2,266 1,733
Non-current 606 424
Decommissioning    
Disclosure Of Other Provisions [Line Items]    
Beginning Balance 738 659
Accrued during the period 55 36
Utilization 0 0
Releases 0 0
Exchange rate differences (87) 43
Ending Balance 706 738
Current 0 0
Non-current 706 738
Provision For Legal and Sundry Risks    
Disclosure Of Other Provisions [Line Items]    
Beginning Balance 3,690 2,570
Accrued during the period 426 999
Utilization (43) 0
Releases 0 (78)
Exchange rate differences (437) 199
Ending Balance 3,636 3,690
Current 2,128 2,406
Non-current 1,508 1,284
Provision For Agents and Directors Severance Indemnity    
Disclosure Of Other Provisions [Line Items]    
Beginning Balance 347 380
Accrued during the period 16 9
Utilization 0 (42)
Releases (21) 0
Exchange rate differences 0 0
Ending Balance 342 347
Current 0 0
Non-current € 342 € 347