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Restricted Cash, Deposits and Marketable Securities (Schedule of Restricted Cash) (Details) - EUR (€)
€ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Disclosure of Restricted cash deposits and marketable securities [Abstract]    
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).