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Derivative Financial Instruments - Movement in the reserve for cash flow for hedging, listed by the hedged risk (Details)
€ in Thousands
12 Months Ended
Dec. 31, 2024
EUR (€)
Dec. 31, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Derivative Financial Instruments      
Hedging ratio 1    
Fair Value change of Cash flow hedges      
Cumulative fair value change at the beginning € (21,559) € 1,343  
Fair value adjustment at year-end, net 13,079 (18,505) € 905
Items recycled at year-end, net 1,527 (776) 438
Time value adjustment at year-end, net 8,752 (3,621)  
Cumulative fair value change at the end 1,799 (21,559) 1,343
Interest rate risk      
Fair Value change of Cash flow hedges      
Cumulative fair value change at the beginning (11,790) 3,163  
Fair value adjustment at year-end, net (3,265) (14,177) 2,725
Items recycled at year-end, net 110 (776) 438
Cumulative fair value change at the end (14,945) (11,790) 3,163
Currency risk      
Fair Value change of Cash flow hedges      
Cumulative fair value change at the beginning (6,148) (1,820)  
Cumulative fair value change at the end 11,612 (6,148) € (1,820)
Foreign currency risk - time value      
Fair Value change of Cash flow hedges      
Cumulative fair value change at the beginning (3,621)    
Cumulative fair value change at the end € 5,132 € (3,621)