Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Financial instruments - Summary of Financial Assets (Detail)

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Financial instruments - Summary of Financial Assets (Detail) - EUR (€)
€ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Disclosure of financial assets [line items]    
At amortized cost € 128,621 € 152,504
Fair value through PL 3,700 9,198
Fair value through OCI 16,557 31,389
Total book value 148,879 193,092
Total fair value 148,879 193,092
Non-current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost 32,383 24,105
Fair value through PL 3,700 9,198
Fair value through OCI 16,557 31,389
Total book value 52,641 64,693
Total fair value 52,641 64,693
Current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost 1,776 601
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 1,776 601
Total fair value 1,776 601
Trade and other receivables    
Disclosure of financial assets [line items]    
At amortized cost 49,877 44,776
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 49,877 44,776
Total fair value 49,877 44,776
Cash and cash equivalents    
Disclosure of financial assets [line items]    
At amortized cost 44,585 83,022
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 44,585 83,022
Total fair value € 44,585 € 83,022