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

Financial instruments - Summary of Financial Assets (Detail)

v3.23.1
Financial instruments - Summary of Financial Assets (Detail) - EUR (€)
€ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Disclosure of financial assets [line items]    
At amortized cost € 150,299 € 84,602
Fair value through PL 9,198 31,095
Fair value through OCI 31,389 0
Total book value 190,886 115,697
Total fair value 190,886 115,697
Non-current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost 21,900 18,887
Fair value through PL 9,198 695
Fair value through OCI 31,389 0
Total book value 62,487 19,582
Total fair value 62,487 19,582
Current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost   0
Fair value through PL   30,400
Fair value through OCI   0
Total book value   30,400
Total fair value   30,400
Trade and other receivables    
Disclosure of financial assets [line items]    
At amortized cost 44,776 41,063
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 44,776 41,063
Total fair value 44,776 41,063
Cash and cash equivalents    
Disclosure of financial assets [line items]    
At amortized cost 83,022 24,652
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 83,022 24,652
Total fair value € 83,022 € 24,652