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Notes to the consolidated statements of cash flows - Financing activities (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Notes to the consolidated statements of cash flows    
Beginning balance € 42,086 € 28,892
Cash flows (7,568) (6,439)
Disposals (2,998)  
New leases 7,986 17,241
Paid Interest 2,375 2,218
Foreign Exchange Movements (57) 174
Ending balance 41,824 42,086
Payment of lease liabilities    
Notes to the consolidated statements of cash flows    
Beginning balance 42,086 28,892
Cash flows (7,568) (6,439)
Disposals (2,998)  
New leases 7,986 17,241
Paid Interest 2,375 2,218
Foreign Exchange Movements (57) 174
Ending balance € 41,824 € 42,086