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Other information - Supplemental Cash Flow Information (Details) - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Other information      
Current assets € 15 € 1 € 44
Non-current assets 193 12 198
Net borrowings (64)   11
Current and non-current liabilities (17) (6) (47)
Net effect of investments 127 7 206
Fair value of investments held before the acquisition of control     (50)
Non-controlling interests (15) (2)  
Gain on a bargain purchase     (8)
Purchase price 112 5 148
Cash and cash equivalents (3)   (29)
Consolidated subsidiaries and businesses net of cash and cash equivalent acquired € 109 5 119
Current assets   77 328
Non-current assets   188 5,079
Net borrowings   11 785
Current and non-current liabilities   (57) (3,470)
Net effect of disposals   219 2,722
Reclassification of foreign currency translation differences among other items of comprehensive income   (24) 113
Fair value of share capital held after the sale of control     (3,498)
Fair value valuation for business combination     889
Gain (loss) on disposal   16 13
Selling price   211 239
Cash and cash equivalents   (24) (286)
Consolidated subsidiaries and businesses net of cash and cash equivalent disposed of   € 187 € (47)