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Equity-method investees - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiary (Detail) - EUR (€)
€ in Thousands
12 Months Ended
Jul. 27, 2018
Dec. 31, 2018
Dec. 31, 2019
Dec. 31, 2017
Jan. 01, 2017
Disclosure of joint ventures [line items]          
Property, plant and equipment   € 111,086 € 102,523 € 115,190  
Other non-current assets   3,359 2,896    
Deferred tax assets   475 513    
Inventories   84,227 69,685 91,077 € 91,014
Trade receivables   40,967 29,187 € 37,549  
Other current receivables   9,507 7,723    
Cash and cash equivalents   62,131 39,799    
TOTAL ASSETS   372,708 369,394    
Net cash flows as per cash flows statement   22,156      
Deferred tax liabilities   42 430    
Trade payables   77,901 68,476    
Other payables   26,914 22,049    
TOTAL LIABILITIES   234,527 264,576    
Non-controlling interests   1,634 1,692    
Goodwill arising on the transaction   3,947 4,068    
Natuzzi Trading (Shanghai) Co., Ltd [member]          
Disclosure of joint ventures [line items]          
Cash received for the disposal of the 23.54% interest € 30,000        
Intangible assets   4,389 3,870    
Chinese withholding tax (2,958)        
Cash and cash equivalents 4,886        
Net cash flows as per cash flows statement 22,156        
Deferred tax liabilities   1,097 967    
Total identifiable net assets at fair value 2,613        
Goodwill arising on the transaction   € 26,140 € 26,140    
At fair value [member] | Natuzzi Trading (Shanghai) Co., Ltd [member]          
Disclosure of joint ventures [line items]          
Property, plant and equipment 541        
Intangible assets 9,397        
Other non-current assets 271        
Deferred tax assets 167        
Inventories 851        
Trade receivables 243        
Other current receivables 388        
Restricted cash for capital contribution 35,000        
Cash and cash equivalents 4,886        
TOTAL ASSETS 51,744        
Deferred tax liabilities 2,349        
Trade payables 992        
Other payables 3,710        
Liabilities for current income tax 31        
TOTAL LIABILITIES 7,082        
Total identifiable net assets at fair value 44,662        
Non-controlling interests 21,884        
Goodwill arising on the transaction 26,140        
Fair value of the retained 49% interest € 48,024