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Details of treasury and other financial risks (Tables)
12 Months Ended
Dec. 31, 2021
Details of treasury and other financial risks [Abstract]  
Details of treasury and other financial risks - Contractual cash obligations [Text Block]

Philips Group

Contractual cash obligations1)2)

in millions of EUR

  payments due by period
 totalless than 1 year1-3 years3-5 yearsafter 5 years
Long-term debt3)7,2332461,9951,9243,068
Lease obligations1,333280397238417
Short-term debt4747
Derivative liabilities20887121
Purchase obligations4)6542373059912
Trade and other payables1,8721,872   
Contractual cash obligations11,3472,7682,8192,2613,498
1)Amounts in this table are undiscounted2)This table excludes post-employment benefit plan contribution commitments and income tax liabilities in respect of tax risks because it is not possible to make a reasonably reliable estimate of the actual period of cash settlement.3)Long-term debt includes interest and the current portion of long-term debt and excludes lease obligations.4)Purchase obligations are agreements to purchase goods or services that are enforceable and legally binding for the Group. They specify all significant terms, including fixed or minimum quantities to be purchased, fixed, minimum or variable price provisions and the approximate timing of the transaction. They do not include open purchase orders or other commitments which do not specify all significant terms.
Details of treasury and other financial risks - Lease - minimum payments under sale-and-leaseback arrangements [Text Block]

Philips Group

Lease - minimum payments under sale-and-leaseback arrangements

in millions of EUR

  
202272
202351
202433
202517
20268
Thereafter21
Details of treasury and other financial risks - Estimated transaction exposure and related hedges [Text Block]

Philips Group

Estimated transaction exposure and related hedges

in millions of EUR

 Sales/ReceivablesPurchases/Payable
 exposurehedgesexposurehedges
Balance as of December 31, 2021    
Exposure currency    
USD2,168(1,614)(1,030)958
JPY665(306)(11)10
GBP338(179)(11)11
CNY624(433)(83)71
CAD338(173)  
PLN70(31)  
AUD240(122)  
CHF124(57)(2)2
CZK63(29)  
SEK71(30)(1)1
RUB125(113)(2)2
Others306(275)(419)267
Total 20215,131(3,363)(1,559)1,322
Total 20204,707(3,150)(1,488)1,267
     
     
Details of treasury and other financial risks - Estimated impact of 10% increase of value of the EUR on the fair value of hedges [Text Block]

Philips Group

Estimated impact of 10% increase of value of the EUR on the fair value of hedges

in millions of EUR

 20202021
USD7178
JPY1713
GBP1514
CHF65
PLN83
RUB810
Details of treasury and other financial risks - Net debt and interest rate sensitivity [Text Block]

Philips Group

Net debt1) and interest rate sensitivity

in millions of EUR

 20202021
Impact 1% interest increase on the fair value of the fixed-rate long-term debt2)3)(345)(297)
Impact 1% interest decrease on the fair value of the fixed-rate long-term debt2)3)346298
Impact 1% interest increase on the annualized net interest expense4)2820
1)The definition of this non-IFRS measure and a reconciliation to the IFRS measure is included in Equity2)The sensitivity analysis conducted shows that if long-term interest rates were to increase/decrease instantaneously by 1% from their level of December 31, 2021, with all other variables (including foreign exchange rates) held constant.3)Fixed-rate long-term debt is excluding forward contracts.4)The impact is based on the outstanding net cash position (after excluding fixed-rate debt) at December 31, 2021.
Details of treasury and other financial risks - Credit risk with number of counterparties [Text Block]

Philips Group

Credit risk with number of counterparties

for deposits above EUR 10 million

 10-100 million100-500 million500 million and above
AA- rated bank counterparties1
A+ rated bank counterparties14
A rated bank counterparties11
A- rated bank counterparties12
 47