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Financial Instruments, Financial Risks and Capital Management (Details) - Schedule of Details the Group’s Contractual Maturity - EUR (€)
Jun. 30, 2023
Dec. 31, 2022
Jun. 30, 2022
Non-interest bearing [Member]      
June 30, 2022      
Interest rate
On demand or within 1 year € 128,910 € 874,506 € 479,988
Over 1 year
Total undiscounted cash flow 128,910 874,506 479,988
Total carrying amount € 128,910 € 874,506 € 479,988
Fixed interest rate instruments [Member]      
June 30, 2022      
Interest rate 0.75% 0.75% 0.75%
On demand or within 1 year € 6,203 € 6,346 € 6,346
Over 1 year 15,713 15,866 19,039
Total undiscounted cash flow 21,916 22,212 25,385
Total carrying amount € 21,916 21,916 € 25,000
Lease liabilities [Member]      
June 30, 2022      
Interest rate   0.75%
On demand or within 1 year € 4,697 82,666 € 86,660
Over 1 year 229,562 278,625
Total undiscounted cash flow 4,697 312,228 365,285
Total carrying amount € 4,697 € 307,410 € 359,113
Lease liabilities [Member] | Bottom of Range [Member]      
June 30, 2022      
Interest rate   0.75%  
Lease liabilities [Member] | Top of Range [Member]      
June 30, 2022      
Interest rate   8.10%