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Consolidated Statement of Comprehensive Income and Loss - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Statement of comprehensive income [abstract]      
Net income / (loss) € 109,487 € 90,861 € 135,661
Items that will subsequently be reclassified to the statement of profit and loss:      
Foreign currency exchange differences arising from the translation of foreign operations (79,056) 32,448 (15,887)
Net gain/(loss) from cash flow hedges 11,012 (13,255) (7,553)
Net (loss)/gain from financial instruments measured at fair value (137) 216 635
Items that will not subsequently be reclassified to the statement of profit and loss:      
Net actuarial (loss)/gain from defined benefit plans (148) 408 1,025
Total other comprehensive (loss)/income, net of tax: (68,329) 19,817 (21,780)
Total comprehensive income 41,158 110,678 113,881
Attributable to:      
Shareholders of the Parent Company 33,744 95,548 100,583
Non-controlling interests € 7,414 € 15,130 € 13,298