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

Share-based payments (Tables)

v3.24.1.1.u2
Share-based payments (Tables)
12 Months Ended
Dec. 31, 2023
Share-Based Payment Arrangements [Abstract]  
Summary Of Number And Weighted Average Exercise Prices Of Share Options
Set out below are summaries of MIP Grant Options and MIP Performance Options granted under the plan:
2023 2022
Average exercise price per share option (in €) Number of grant options Number of performance options Average exercise price per share option (in €) Number of grant options Number of performance options
As at January 1 0.12  1,329,213  1,329,213       
Granted during the period —  —  —  0.12  1,329,213  1,329,213 
Exercised during the period —  —  —  —  —  — 
Forfeited during the period —  —  —  —  —  — 
As at December 31 0.12  1,329,213  1,329,213  0.12  1,329,213  1,329,213 
Vested and exercisable at December 31 0.12  1,329,213  1,329,213  —  —  — 
Set out below is a summary of the target number of LTIP Performance Options granted under the plan:
2023
Average exercise price per LTIP Performance Option (in €) Target number of LTIP Performance Options
As at January 1    
Granted during the period 0.12  2,798,063 
Exercised during the period —  — 
Forfeited during the period —  — 
Cancelled during the period —  (577,722)
As at December 31 0.12  2,220,341 
Vested and exercisable at December 31 0.12  341,377 
Summary Of Range Of Exercise Prices Of Outstanding Share Options
Share options outstanding at the end of the reporting period have the following expiry dates and exercise prices:
Options Grant date Vesting date Expiry date Exercise price (in €) Share options
December 31, 2023
MIP Grant Options May 14, 2022 September 18, 2023 June 30, 2024 0.12  1,329,213 
MIP Performance Options May 14, 2022 September 18, 2023 June 30, 2024 0.12  996,910 
MIP Performance Options (modified) May 14, 2022 December 29, 2023 June 30, 2024 0.12  332,303 
Total 2,658,426 
LTIP Performance Options outstanding at the end of the reporting period have the following expiry dates and exercise prices:
Options Grant date Vesting date Expiry date Exercise price (in €) Target number of options
December 31, 2023
LTIP Performance Options (2022) April 12, 2023 April 12, 2025 April 12, 2032 0.12  697,845 
LTIP Performance Options (2022) - modified April 12, 2023 December 29, 2023 June 30, 2024 0.12  341,377 
LTIP Performance Options (2023)* April 12, 2023 April 12, 2026 April 12, 2033 0.12  1,181,119 
*Service period for this award started on January 1, 2023
Disclosure Of Number And Weighted Average Exercise Prices Of Other Equity Instruments
Set out below are summaries of the number of RSUs granted under the plan:
2023
Employees Eligible directors
As at January 1    
Granted during the period 176,952  952,812 
Forfeited during the period —  — 
Vested and issued during the period —  (666,968)
As at December 31 176,952  285,844 
Vested and exercisable at December 31 —  —