Current report of foreign issuer pursuant to Rules 13a-16 and 15d-16 Amendments

Financial instruments - Summary of Financial Assets (Detail)

v3.23.3
Financial instruments - Summary of Financial Assets (Detail) - EUR (€)
€ in Thousands
Sep. 30, 2023
Dec. 31, 2022
Disclosure of financial assets [line items]    
At amortized cost € 94,376 € 150,299
Fair value through PL 8,603 9,198
Fair value through OCI 29,463 31,389
Total book value 132,442 190,886
Total fair value 132,442 190,886
Non-current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost 22,439 21,900
Fair value through PL 8,603 9,198
Fair value through OCI 29,463 31,389
Total book value 60,505 62,487
Total fair value 60,505 62,487
Current other financial assets    
Disclosure of financial assets [line items]    
At amortized cost 6,469 601
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 6,469 601
Total fair value 6,469 601
Trade and other receivables    
Disclosure of financial assets [line items]    
At amortized cost 36,639 44,776
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 36,639 44,776
Total fair value 36,639 44,776
Cash and cash equivalents    
Disclosure of financial assets [line items]    
At amortized cost 28,829 83,022
Fair value through PL 0 0
Fair value through OCI 0 0
Total book value 28,829 83,022
Total fair value € 28,829 € 83,022