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Share-based payment arrangements (Tables)
12 Months Ended
Dec. 31, 2023
Share-Based Payment Arrangements [Abstract]  
Inputs used in measurement of the fair values at grant date for the equity-settled share option programs
The inputs used in measurement of the fair values at grant date for the equity-settled share option programs were as follows:
 LTIP 2015
(figures in EUR)Tranche 1Tranche 2Tranche 3
Fair value at grant date1.853 1.853 1.853 
Share price at grant date10.050 10.050 10.050 
Exercise price10.0475 10.0475 10.0475 
Expected volatility (weighted average)39.63 %39.63 %39.63 %
Expected life (days) (weighted average)365 730 1,095 
Expected dividends%%%
Risk-free interest rate0.66 %0.66 %0.66 %
The inputs used in measurement of the fair value at grant date for the TBIP was as follows:
TBIP
Tranche 1Tranche 2Tranche 3Tranche 4
Risk-free interest rate1.69 %1.69 %1.69 %1.69 %
Annual volatility33.43 %33.43 %33.43 %33.43 %
Expected vesting period (years)3.053.383.693.98
Disclosure of number and weighted average exercise prices of share options
The number and weighted-average exercise prices of options under the 2015 LTIP were as follows:
(figures in EUR)Number of options 2022Weighted average exercise price 2022Number of options 2021Weighted average exercise price 2021
Outstanding at January 1236,590 7.732 236,590 7.732 
Forfeited during the year— — — — 
Settled during the year(236,590)6.843 — — 
Granted during the year— — — — 
Outstanding at December 31  236,590 7.732 
Vested at December 31— — 236,590 —