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Business Combinations (Tables)
12 Months Ended
Dec. 31, 2022
Disclosure of detailed information about business combination [line items]  
Summary of net value of the assets
The net value of the assets acquired is detailed as follows:


(Euro thousands)
  
Fair value at acquisition date
 
Intangible assets
     6,420  
Property, plant and equipment
     12,621  
Right-of-use
assets
     8,252  
Deferred income tax assets
     6,474  
Inventories
     15,118  
Trade receivables
     7,070  
Other current assets
     7,040  
Cash and bank balances
     8,357  
Non-current
borrowings
     (11,034
Non-current
lease liabilities
     (8,925
Employee benefits
     (962
Deferred income tax liabilities
     (866
Trade payables
     (9,417
Current borrowings
     (2,125
Current lease liabilities
     (4,387
Current provisions
     (942
Other current liabilities
     (7,548
    
 
 
 
Net identifiable assets acquired
     25,146  
Consideration paid
     (17,250
    
 
 
 
Gain on acquisition
    
7,896
 
    
 
 
 
Summary of net cash outflows
The details of the net cash outflows related to the acquisition are shown below:
 
(Euro thousands)
  
At acquisition date
 
Consideration paid
     17,250  
Cash and bank balances acquired
     (8,357
    
 
 
 
Net cash outflow - Investing activities
  
 
8,893