XML 255 R54.htm IDEA: XBRL DOCUMENT v3.22.0.1
Capital Structure, Financial Risk and Related Items - Treasury Shares (Details)
1 Months Ended 12 Months Ended
Mar. 31, 2019
shares
Mar. 31, 2016
shares
Dec. 31, 2021
DKK (kr)
item
shares
Dec. 31, 2020
DKK (kr)
shares
Dec. 31, 2019
DKK (kr)
shares
Apr. 13, 2021
DKK (kr)
shares
Mar. 29, 2019
DKK (kr)
shares
Mar. 28, 2017
DKK (kr)
Mar. 17, 2016
DKK (kr)
shares
Number of shares                  
Number of shares at beginning of period | shares       3,277,500          
Number of shares at end of period | shares         3,277,500        
Share capital                  
Share capital, at beginning of period     kr 65,500,000 kr 65,100,000 kr 61,500,000        
Purchase of treasury shares     447,000,000            
Share capital, at end of period     kr 65,700,000 kr 65,500,000 kr 65,100,000        
Cost                  
Number of authorization | item     2            
Number of shares authorized to be repurchased | shares                 500,000
Nominal value of shares repurchases           kr 750,000   kr 500,000 kr 500,000
Treasury shares [member]                  
Number of shares                  
Number of shares at beginning of period | shares     132,106 163,921 177,550        
Purchase of treasury shares. | shares 170,000 30,000 200,000 0 0        
Shares used for funding RSU program | shares     (43,781) (31,815) (13,629)        
Number of shares at end of period | shares     288,325 132,106 163,921        
Share capital                  
Share capital, at beginning of period     kr 100,000 kr 200,000 kr 200,000        
Purchase of treasury shares     200,000            
Shares used for funding RSU program       (100,000)          
Share capital, at end of period     kr 300,000 kr 100,000 kr 200,000        
Proportion of share capital                  
Proportion of share capital, at beginning of period     0.20% 0.30% 0.30%        
Proportion of share capital on purchase of treasury shares     0.30%            
Proportion of share capital on shares used for funding RSU program     (0.10%) (0.10%)          
Proportion of share capital, at end of period     0.40% 0.20% 0.30%        
Cost                  
Cost, at beginning of period     kr 154,000,000 kr 192,000,000 kr 208,000,000        
Purchase of treasury shares     447,000,000            
Shares used for funding RSU program     (51,000,000) (38,000,000) (16,000,000)        
Cost at end of period     kr 550,000,000 kr 154,000,000 kr 192,000,000        
RSU                  
Number of shares                  
Purchase of treasury shares. | shares     200,000            
Share capital                  
Purchase of treasury shares     kr 447,000,000            
Proportion of share capital                  
Proportion of share capital on purchase of treasury shares     0.30%            
First authorization                  
Cost                  
Number of shares authorized to be repurchased | shares             500,000    
Nominal value of shares repurchases             kr 500,000    
Share repurchased | shares     255,000            
Share repurchased amount     kr 255,000            
Shares available for repurchase | shares     830,000            
Shares available for repurchase amount     kr 830,000            
Second authorization                  
Cost                  
Number of shares authorized to be repurchased | shares           500,000      
Nominal value of shares repurchases           kr 500,000      
Share repurchased | shares     170,000            
Share repurchased amount     kr 170,000