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Debt, Cash and Cash Equivalents - Summary of Net Debt by Type Valuation of Redemption (Details) - EUR (€)
€ in Millions
Jun. 30, 2024
Dec. 31, 2023
Jun. 30, 2023
Dec. 31, 2022
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Interest rate and currency derivatives used to manage debt € 179 € 139    
Total debt 21,918 16,531    
Cash and cash equivalents (6,795) (8,710) € (7,993) € (12,736)
Interest rate and currency derivatives used to manage cash and cash equivalents (11) (28)    
Net debt [1] 15,112 7,793    
Value on redemption        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Bond issues 14,509 15,134    
Other bank borrowings 7,213 1,248    
Other borrowings 5 6    
Bank credit balances 215 203    
Interest rate and currency derivatives used to manage debt 10 (18)    
Total debt 21,952 16,573    
Cash and cash equivalents (6,795) (8,710)    
Interest rate and currency derivatives used to manage cash and cash equivalents (11) (28)    
Net debt [2] 15,146 7,835    
Value on redemption | non-current        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Cash and cash equivalents 0 0    
Interest rate and currency derivatives used to manage cash and cash equivalents 0 0    
Net debt 12,688 14,546    
Value on redemption | current        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Cash and cash equivalents (6,795) (8,710)    
Interest rate and currency derivatives used to manage cash and cash equivalents (11) (28)    
Net debt 2,458 (6,711)    
Value on redemption | non-current        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Bond issues 12,593 14,416    
Other bank borrowings 95 130    
Other borrowings 0 0    
Bank credit balances 0 0    
Interest rate and currency derivatives used to manage debt 0 0    
Total debt 12,688 14,546    
Value on redemption | current        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Bond issues 1,916 718    
Other bank borrowings 7,118 [3] 1,118    
Other borrowings 5 6    
Bank credit balances 215 203    
Interest rate and currency derivatives used to manage debt 10 (18)    
Total debt 9,264 € 2,027    
Value on redemption | current | Commercial paper program in USA        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Other bank borrowings 6,955      
Value on redemption | current | Commercial paper program in France        
Disclosure of reconciliation of carrying amount to value on redemption [line items]        
Other bank borrowings € 0      
[1] Net debt does not include lease liabilities, which amounted to €2,012 million as of June 30, 2024 and €2,030 million as of December 31, 2023
[2] Net debt does not include lease liabilities, which amounted to €2,012 million as of June 30, 2024 and €2,030 million as of December 31, 2023
[3] (a) As of June 30, 2024, current other bank borrowings include €6,955 million related to the US Commercial Paper program and €0 million related to the Negotiable European Commercial Paper program in France