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Summary of Significant Accounting Policies (Tables)
6 Months Ended
Jun. 30, 2019
Text block [abstract]  
Opening Financial Position Reclassification (IFRS 16 Standard)


     Carrying amount             Carrying amount  

(in millions of Euros)

   December 31, 2018      IFRS 16 impact      January 1, 2019  

Property, plant and equipment

     1,666        102        1,768  

Borrowings

     (2,151      (102      (2,253
Disclosure of Foreign Exchange Rates

The following table summarizes the principal exchange rates used for the preparation of the Unaudited Condensed Interim Consolidated Financial Statements of the Group:

 

            Six months ended             Six months ended      At December 31,  
            June 30, 2019      At June 30, 2019      June 30, 2018      2018  

Foreign exchange rate for 1 Euro

     Average rate      Closing rate      Average rate      Closing rate  

U.S. Dollars

     USD        1.1297        1.1380        1.2097        1.1450  

Swiss Francs

     CHF        1.1294        1.1105        1.1696        1.1269  

Czech Koruna

     CZK        25.6842        25.4470        25.4992        25.7240