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Notes to the Consolidated Statements of Financial Position (Details) - Schedule of Market Risk, Credit Risk and Liquidity Risk
12 Months Ended
Dec. 31, 2023
Market risk [Member]  
Notes to the Consolidated Statements of Financial Position (Details) - Schedule of Market Risk, Credit Risk and Liquidity Risk [Line Items]  
Exposure Future development costs; Recognized financial assets and liabilities not denominated in Euro
Measurement Forecasted cash flows Sensitivity analysis
Risk Management Achievement of a natural hedge in the future
Credit risk [Member]  
Notes to the Consolidated Statements of Financial Position (Details) - Schedule of Market Risk, Credit Risk and Liquidity Risk [Line Items]  
Exposure Cash and cash equivalents, current and non-current financial assets
Measurement Credit rating
Risk Management Diversification of bank deposits, Investment guidelines for debt investments
Liquidity [Member]  
Notes to the Consolidated Statements of Financial Position (Details) - Schedule of Market Risk, Credit Risk and Liquidity Risk [Line Items]  
Exposure R&D and G&A cost, equity, trade and other payables
Measurement Rolling cash flow forecast
Risk Management Availability of funds through financing rounds or public offerings