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EQUITY - Tax Effect Relating to Other Comprehensive Income (Loss) (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Disclosure of Share Capital Reserves and Other Equity Interests [Abstract]      
(Losses)/Gains on remeasurement of defined benefit plans, before tax € 221 € 1,605 € (463)
(Losses)/Gains on remeasurement of defined benefit plans, tax (52) (376) 110
(Losses)/Gains on remeasurement of defined benefit plans, net of tax 169 1,229 (353)
(Losses)/Gains on cash flow hedging instruments, before tax (26,284) 92,898 (64,130)
(Losses)/Gains on cash flow hedging instruments, tax 6,403 (24,626) 17,960
(Losses)/Gains on cash flow hedging instruments, net of tax (19,881) 68,272 (46,170)
Exchange differences on translating foreign operations, before tax (6,323) 9,798 14,229
Exchange gains on translating foreign operations, tax 0 0 0
Exchange gains on translating foreign operations, net of tax (6,323) 9,798 14,229
Total other comprehensive (loss)/income (32,386) 104,301 (50,364)
Total other comprehensive (loss)/income, tax 6,351 (25,002) 18,070
Total other comprehensive (loss)/income, net of tax € (26,035) € 79,299 € (32,294)