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QUALITATIVE AND QUANTITATIVE INFORMATION ON FINANCIAL RISKS (Details) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of credit risk exposure [line items]        
Exchange gain (loss) on translating foreign operations € (6,323) € 9,798 € 14,229  
Group's gross debt that bears floating rates of interest (percent) 58.00% 42.00%    
Borrowings, decrease in basis points 2500.00% 0.10%    
Funding limit € 600,000 € 669,000    
Receivables from financing activities 1,451,158 1,399,997    
Trade receivables € 261,380 € 232,414    
Concentration of bank and deposit accounts, maximum percent 25.00%      
Euro        
Disclosure of credit risk exposure [line items]        
Cash and cash equivalents, denomination percentage 80.00% 85.00%    
Overdue        
Disclosure of credit risk exposure [line items]        
Receivables from financing activities € 82,029 € 62,779    
Trade receivables 35,935 45,657    
Financial Assets Excluding Assets Measured At Fair Value        
Disclosure of credit risk exposure [line items]        
Exchange gain (loss) on translating foreign operations 20,197 (25,923) (11,407)  
Loans to consumers        
Disclosure of credit risk exposure [line items]        
Allowance for doubtful accounts 11,165 9,950 11,204  
Trade receivables        
Disclosure of credit risk exposure [line items]        
Allowance for doubtful accounts 25,418 25,800 € 25,984  
U.S. Dollar        
Disclosure of credit risk exposure [line items]        
Trade receivables 118,233 108,369    
Pound Sterling        
Disclosure of credit risk exposure [line items]        
Trade receivables € 6,096 8,178    
Currency risk        
Disclosure of credit risk exposure [line items]        
Reasonably possible change in risk variable, percent 10.00%      
Reasonably possible change in risk variable, impact on fair value of derivative financial instruments € 191,355 174,550    
Interest rate risk        
Disclosure of credit risk exposure [line items]        
Reasonably possible change in risk variable, impact on pre-tax earnings € 565 € 303    
Revenue | Currency risk        
Disclosure of credit risk exposure [line items]        
Risk exposure percent 60.00% 65.00%   58.00%
Revenue | Currency risk | Top of range        
Disclosure of credit risk exposure [line items]        
Average risk exposure hedged (percent) 90.00%      
Revenue | Currency risk | U.S. Dollar        
Disclosure of credit risk exposure [line items]        
Risk exposure percent 57.00% 52.00%   51.00%
Revenue | Currency risk | Pound Sterling        
Disclosure of credit risk exposure [line items]        
Risk exposure percent   10.00% 10.00%