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Financial liabilities - Disclosure of financial liabilities per maturity (Details)
€ in Thousands
1 Months Ended 6 Months Ended
Mar. 15, 2023
EUR (€)
Aug. 31, 2022
EUR (€)
loan
Jan. 05, 2022
EUR (€)
loan_agreement
Aug. 30, 2019
EUR (€)
Jul. 03, 2017
EUR (€)
Jul. 31, 2024
EUR (€)
Aug. 31, 2022
EUR (€)
loan
Jun. 30, 2024
EUR (€)
loan_agreement
Jun. 30, 2023
EUR (€)
Dec. 31, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Dec. 31, 2019
EUR (€)
Dec. 31, 2018
EUR (€)
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               € 35,503 € 40,658 € 39,893 € 42,251    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               49 (689)        
Repayments of borrowings/leases liabilities               (4,446) (916)        
Exchange rate variation (non cash)               8 2        
Current prepaid expenses               3,009   5,692      
Right-of-use assets                          
Disclosure of financial liabilities [Line Items]                          
Write-off of right-of-use asset € 500                        
Guarantees                          
Disclosure of financial liabilities [Line Items]                          
Current prepaid expenses               € 879   1,005      
State guaranteed loan, Societe Generale and BNP Paribas                          
Disclosure of financial liabilities [Line Items]                          
Borrowing, number of loan agreement   2         2 2          
Borrowing, maturity   5 years           5 years          
Borrowing, grace period   1 year                      
State guaranteed loan Société Générale (1)                          
Disclosure of financial liabilities [Line Items]                          
Borrowing, maturity             4 years            
Borrowings, interest rate   1.56%         1.56%            
Number of loans | loan             2            
State guaranteed loan Société Générale (1) | Guarantees                          
Disclosure of financial liabilities [Line Items]                          
Current prepaid expenses   € 877         € 877            
State guaranteed loan BNP Paribas (1)                          
Disclosure of financial liabilities [Line Items]                          
Borrowings, interest rate   0.95%         0.95%            
State guaranteed loan BNP Paribas (1) | Guarantees                          
Disclosure of financial liabilities [Line Items]                          
Current prepaid expenses   € 379         € 379            
State guaranteed loan Société Générale (1)                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               € 17,568 20,000 20,000 20,000    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (2,432) 0        
Exchange rate variation (non cash)               0 0        
Notional amount     € 20,000                    
State guaranteed loan BNP Paribas (1)                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               7,630 8,700 8,700 8,700    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (1,070) 0        
Exchange rate variation (non cash)               0 0        
Notional amount     8,700                    
State guaranteed loans - accrued interest                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               13 15 14 15    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               13 0        
Repayments of borrowings/leases liabilities               (14) 0        
Exchange rate variation (non cash)               0 0        
Lease liabilities – Building "Le Virage"                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               254 487 375 1,353    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 (736)        
Repayments of borrowings/leases liabilities               (121) (130)        
Exchange rate variation (non cash)               0 0        
Write-off of lease liability € 700                        
Lease liabilities – Premises Innate Inc.                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               207 297 246 345    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (47) (50)        
Exchange rate variation (non cash)               8 2        
Lease liabilities – Laboratory equipment                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               26 198 109 287    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (83) (89)        
Exchange rate variation (non cash)               0 0        
Lease liabilities – Vehicles                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               87 70 85 33    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               19 48        
Repayments of borrowings/leases liabilities               (17) (13)        
Exchange rate variation (non cash)               0 0        
Lease liabilities - Printers                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               13 23 18 27    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (4) (4)        
Exchange rate variation (non cash)               0 0        
Borrowing – Equipment                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               71 127 99 154    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               0 0        
Repayments of borrowings/leases liabilities               (28) (27)        
Exchange rate variation (non cash)               0 0        
Borrowing – Building (2)                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               9,634 10,736 € 10,247 € 11,338    
Proceeds from borrowing               0 0        
Proceeds from lease liabilities and other non cash effects               17 0        
Repayments of borrowings/leases liabilities               (630) (602)        
Exchange rate variation (non cash)               0 € 0        
State guaranteed loan, Societe Generale and BNP Paribas                          
Disclosure of financial liabilities [Line Items]                          
Notional amount     € 28,700                    
Borrowing, number of loan agreement | loan_agreement     2                    
Borrowing, maturity     1 year                    
Borrowing, maturity, extension period option     5 years                    
Borrowing, percentage of state-guaranteed loan     90.00%                    
Loan agreement with Société Générale                          
Disclosure of financial liabilities [Line Items]                          
Financial liabilities               € 9,617       € 1,300 € 1,300
Proceeds from borrowing       € 13,900                  
Loan agreement, maximum borrowing capacity         € 15,200                
Loan agreement, collateral         15,200                
Borrowings, maturity period       12 years                  
Security interest on pledge of financial instruments will be released in 2024         4,200                
Security interest on pledge of financial instruments will be released in 2027         5,000                
Security interest on pledge of financial instruments will be released in 2031         € 6,000                
Loan agreement with Société Générale | Other disposals of assets [member]                          
Disclosure of financial liabilities [Line Items]                          
Security interest on pledge of financial instruments released           € 4,200              
Loan agreement with Société Générale | Fixed interest rate                          
Disclosure of financial liabilities [Line Items]                          
Borrowings, interest rate               2.01%