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Derivative Financial Instruments - Interest rate risk (Details) - EUR (€)
€ in Millions
Dec. 31, 2023
Dec. 23, 2023
Dec. 07, 2023
Jun. 30, 2023
Dec. 31, 2022
Senior Secured Green Revolving Credit Facility          
Fair value measurement hierarchy of the Group's assets and liabilities          
Maximum borrowing capacity       € 310  
New Debt Facility          
Fair value measurement hierarchy of the Group's assets and liabilities          
Maximum borrowing capacity     € 550    
P-Class facility          
Fair value measurement hierarchy of the Group's assets and liabilities          
Average fixed rate of swap (in percent) 3.00%        
Maximum borrowing capacity € 425 € 425      
Interest rate risk          
Fair value measurement hierarchy of the Group's assets and liabilities          
Interest rate floor (in percent) 3.90%       2.00%
Percentage below which the 3M EURIBOR rate is expected to fall due to hedging ineffectiveness 0.00%        
Interest rate risk | Interest rate Swap - EURIBOR 3M          
Fair value measurement hierarchy of the Group's assets and liabilities          
Average fixed rate of swap (in percent) 2.81%       2.82%
Interest rate risk | Senior Secured Green Revolving Credit Facility          
Fair value measurement hierarchy of the Group's assets and liabilities          
Interest rate floor (in percent)         0.00%
Interest rate risk | New Debt Facility          
Fair value measurement hierarchy of the Group's assets and liabilities          
Maximum borrowing capacity     € 550