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

Financial instruments - Summary of Financial Liabilities (Detail)

v3.23.1
Financial instruments - Summary of Financial Liabilities (Detail) - EUR (€)
€ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Disclosure of financial liabilities [line items]    
At amortized cost € 371,620 € 268,817
Fair value through PL 1,296 0
Total book value 372,916 268,817
Total fair value 325,200 295,442
Borrowings    
Disclosure of financial liabilities [line items]    
At amortized cost 269,033 213,128
Fair value through PL 0 0
Total book value 269,033 213,128
Total fair value 272,641 271,370
Non-current lease liabilities    
Disclosure of financial liabilities [line items]    
At amortized cost 44,044 26,097
Fair value through PL 0 0
Total book value 44,044 26,097
Current lease liabilities    
Disclosure of financial liabilities [line items]    
At amortized cost 7,280 5,520
Fair value through PL 0 0
Total book value 7,280 5,520
Trade and other payables    
Disclosure of financial liabilities [line items]    
At amortized cost 51,263 24,072
Fair value through PL 0 0
Total book value 51,263 24,072
Total fair value 51,263 € 24,072
Warrant liabilities    
Disclosure of financial liabilities [line items]    
At amortized cost 0  
Fair value through PL 1,296  
Total book value 1,296  
Total fair value € 1,296