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Restricted Cash, Deposits and Marketable Securities (Tables)
6 Months Ended
Jun. 30, 2022
Disclosure of Restricted cash deposits and marketable securities [Abstract]  
Schedule of Restricted Cash, Deposits and Marketable Securities
 
   
June 30,
   
December 31,
 
   
2022
   
2021
 
   
€ in thousands
 
   
Unaudited
   
Audited
 
             
Marketable securities (1)
   
1,761
     
1,946
 
                 
Short-term restricted cash (2)
   
4,280
     
1,000
 
                 
Short-term deposits
   
-
     
28,410
 
                 
Long-term restricted non-interest-bearing bank deposits (2)
   
20,379
     
15,630
 
 
  1.
During 2021, the Company invested in a traded Corporate Bond with a coupon rate of 3.255%.
  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 in 2021 and to secure obligations under loan agreements.