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Assets held for sale (Details)
€ in Thousands
12 Months Ended
Dec. 31, 2025
EUR (€)
Dec. 31, 2024
EUR (€)
Dec. 31, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Assets held for sale        
Intangible assets € 25,639 € 29,973 € 31,464 € 37,875
Property, plant & equipment 112,854 111,331 95,400  
Right-of-use assets 5,429 7,719 8,102  
Trade receivables 54,938 53,052 52,698  
Other current assets 15,533 18,166 9,160  
Cash and cash equivalents 133,918 102,304 127,573 € 140,867
Assets held for sale 4,314 0 0  
Deferred tax liabilities 2,660 3,202 3,725  
Trade payables 20,125 23,348 21,196  
Tax payables 748 € 1,432 € 1,777  
Liabilities held for sale 802      
RapidFit NV        
Assets held for sale        
Intangible assets 36      
Property, plant & equipment 239      
Right-of-use assets 29      
Inventories and contracts in progress 2,681      
Trade receivables 1,235      
Other current assets 94      
Assets held for sale 4,314      
Lease liabilities 22      
Deferred tax liabilities 2      
Trade payables 416      
Tax payables 1      
Other liabilities 362      
Liabilities held for sale 802      
Net assets € 3,512      
Period Considered for cash flow projections 5 years      
RapidFit NV | WACC | Discounted cash flow [member] | Non-current assets held for sale [member] | At fair value [member]        
Assets held for sale        
Significant unobservable input, assets 0.0975      
RapidFit NV | Growth Rate [member] | Discounted cash flow [member] | Non-current assets held for sale [member] | At fair value [member]        
Assets held for sale        
Significant unobservable input, assets 0.03