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SUPPLEMENTARY CASHFLOW INFORMATION - Split of cash and non-cash interest and financing charges (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
SUPPLEMENTARY CASHFLOW INFORMATION    
Cash € (210) € (334)
Non-cash (1,939) (764)
Total (2,149) (1,098)
Interest Income    
SUPPLEMENTARY CASHFLOW INFORMATION    
Cash 1 13
Total 1 13
Interest and financing fees    
SUPPLEMENTARY CASHFLOW INFORMATION    
Cash (213) (210)
Total (213) (210)
Foreign exchange gain (loss)    
SUPPLEMENTARY CASHFLOW INFORMATION    
Cash 67 (126)
Total 67 (126)
Lease interest expense    
SUPPLEMENTARY CASHFLOW INFORMATION    
Cash (65) (11)
Total (65) (11)
Accretion expense on deferred consideration    
SUPPLEMENTARY CASHFLOW INFORMATION    
Non-cash (403) (316)
Total (403) (316)
Accretion Expense on Convertible Debt [Member]    
SUPPLEMENTARY CASHFLOW INFORMATION    
Non-cash (1,536) (448)
Total € (1,536) € (448)