Disclosure Of Material Accounting Policy Information [Text Block]
| Concept |
2024-01-01 to 2024-12-31 |
|---|---|
| Disclosure of material accounting policy information [text block] |
2
|
| Description of accounting policy for business combinations and goodwill [text block] |
2.5.5.3
|
| Description of accounting policy for deferred income tax [text block] |
2.5.9
|
| Description of accounting policy for depreciation expense [text block] |
Intangible assets with a finite useful life are amortised over their useful life. Amortisation is
|
| Description of accounting policy for derecognition of financial instruments [text block] |
Gains and losses
|
| Description of accounting policy for determining components of cash and cash equivalents [text block] |
2.5.3.3
|
| Description of accounting policy for earnings per share [text block] |
Basic earnings per share are calculated by dividing the shareholders' net profit by the weighted
|
| Description of accounting policy for expenses [text block] |
2.5.8
|
| Description of accounting policy for finance income and costs [text block] |
2.5.4
|
| Description of accounting policy for financial assets [text block] |
2.5.3
|
| Description of accounting policy for financial instruments [text block] |
2.5.3.1
|
| Description of accounting policy for financial instruments at fair value through profit or loss [text block] |
Financial instruments measured at fair value through profit or loss
|
| Description of accounting policy for financial liabilities [text block] |
2.5.6.2
|
| Description of accounting policy for foreign currency translation [text block] |
2
|
| Description of accounting policy for functional currency [text block] |
The financial statements are presented in euros, which is the Group’s presentation currency. The
|
| Description of accounting policy for government grants [text block] |
2.5.7
|
| Description of accounting policy for impairment of financial assets [text block] |
2.5.3.4
|
| Description of accounting policy for impairment of non-financial assets [text block] |
2.5.5.10
|
| Description of accounting policy for insurance contracts and related assets, liabilities, income and expense [text block] |
2.5.2
|
| Description of accounting policy for issued capital [text block] |
2.5.6.1
|
| Description of accounting policy for leases [text block] |
2.5.5.7
|
| Description of accounting policy for non-current assets or disposal groups classified as held for sale [text block] |
2.5.5.8
|
| Description of accounting policy for intangible assets other than goodwill [text block] |
2.5.5.4
|
| Description of accounting policy for investment in associates and joint ventures [text block] |
2.5.5.2
|
| Description of accounting policy for investment property [text block] |
2.5.5.6
|
| Description of accounting policy for property, plant and equipment [text block] |
2.5.5.5
|
| Description of accounting policy for reclassification of financial instruments [text block] |
Reclassification of financial instruments between levels
|
| Description of accounting policy for recognition of revenue [text block] |
2.5.2.9
|
| Description of accounting policy for reinsurance [text block] |
2.5.2.8
|
| Description of accounting policy for segment reporting [text block] |
3
|
| Description of accounting policy for subsidiaries [text block] |
2.5.5.1
|
| Description of accounting policy for termination benefits [text block] |
2.5.6.3
|
| Description of accounting policy for trade and other receivables [text block] |
2.5.3.2
|