XML 258 R90.htm IDEA: XBRL DOCUMENT v3.25.0.1
Cash flow (Tables)
12 Months Ended
Dec. 31, 2024
Cash flow [Abstract]  
Disclosure of detailed information about cash flows [Table Text Block]
(Million euro) 202420232022
Cash flows from operating activities ex tax payments1,485 1,433 1,084 
Tax payments(192)(170)(82)
Cash flows from operating activities1,293 1,263 1,002 
Investment(1,269)(468)(1,161)
Divestment2,582 43 429 
Cash flows from investing activities1,313 (425)(732)
Cash flows before financing activities2,606 838 270 
Cash flows from financing activities(2,567)(1,179)(676)
Change in cash and cash equivalents39 (341)(406)
2024-2022
(Million euro)
202420232022
Cash flows from operating activities ex tax payments— — 20 
Tax payments— — (1)
Cash flows from operating activities— — 19 
Investment— — (1)
Divestment— — — 
Cash flows before financing activities— — 18