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Restricted Cash, Deposits and Marketable Securities (Tables)
12 Months Ended
Dec. 31, 2020
Disclosure of Restricted cash deposits and marketable securities [Abstract]  
Schedule of Restricted Cash, Deposits and Marketable Securities
   
December 31
 
 
 
2020
   
2019
 
   
€ in thousands
 
Marketable securities (1)
   
1,761
     
2,242
 
Short-term restricted cash
   
-
     
22,162
 
Short-term deposits
   
8,113
     
6,446
 
Long-term restricted non-interest bearing bank deposits (2)
   
2,138
     
3,094
 
Restricted cash, long-term bank deposits (3)
   
7,793
     
7,862
 
Long-term restricted cash and deposits
   
9,931
     
10,956
 


(1)
During 2020, the Company invested in a traded Corporate Bond (rated BB+ by Moody's) with a coupon rate of 5.569%.

(2)
Deposits used to secure obligations towards the Israeli Electricity Authority for the license for the pumped-storage project in the Manara Cliff in Israel and to secure obligations under loan agreements (see Note 11).

(3)
Bank deposits used to secure obligations under loan agreements (see Note 11).