Disclosure Of Material Accounting Policy Information [Text Block]
| Concept |
2022-01-01 to 2022-12-31 |
|---|---|
| Disclosure of material accounting policy information [text block] | — |
| Description of accounting policy for business combinations [text block] |
7.3.1.4
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| Description of accounting policy for collateral [text block] |
48
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| Description of accounting policy for contingent liabilities and contingent assets [text block] |
7.3.2.11
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| Description of accounting policy for deferred income tax [text block] |
Impôts différés
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| Description of accounting policy for derecognition of financial instruments [text block] |
7.3.2.6
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| Description of accounting policy for derivative financial instruments [text block] |
7.3.2.5
|
| Description of accounting policy for dividends [text block] |
7.3.2.18 Dividendes
|
| Description of accounting policy for earnings per share [text block] |
Note 37
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| Description of accounting policy for employee benefits [text block] |
Retraites
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| Description of accounting policy for fair value measurement [text block] |
7.4.5
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| Description of accounting policy for fee and commission income and expense [text block] |
7.3.2.13
|
| Description of accounting policy for financial guarantees [text block] |
Risque de crédit et étapes de provisionnement
|
| Description of accounting policy for financial instruments at fair value through profit or loss [text block] |
Actifs financiers à la juste valeur par résultat (FVTPL)
|
| Description of accounting policy for financial liabilities [text block] |
.
|
| Description of accounting policy for foreign currency translation [text block] |
7.3.2.2
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| Description of accounting policy for functional currency [text block] |
Les comptes consolidés sont présentés en euros, monnaie
|
| Description of accounting policy for hedging [text block] |
.
|
| Description of accounting policy for impairment of assets [text block] |
.
|
| Description of accounting policy for impairment of financial assets [text block] |
Dépréciation des actifs financiers au coût amorti
|
| Description of accounting policy for impairment of non-financial assets [text block] |
7.3.2.10
|
| Description of accounting policy for issued capital [text block] |
Le capital de la Société est divisé en actions ordinaires, toutes de même catégorie, toutes émises et entièrement libérées. Quand les
|
| Description of accounting policy for leases [text block] |
7.3.2.21
|
| Description of accounting policy for loans and receivables [text block] |
7.3.2.3
|
| Description of accounting policy for intangible assets other than goodwill [text block] |
7.3.2.8
|
| Description of accounting policy for interest income and expense [text block] |
7.3.2.14
|
| Description of accounting policy for investment in associates [text block] |
7.3.1.3
|
| Description of accounting policy for offsetting of financial instruments [text block] |
Note 25
|
| Description of accounting policy for property, plant and equipment [text block] |
7.3.2.9
|
| Description of accounting policy for provisions [text block] |
Provisions
|
| Description of accounting policy for reclassification of financial instruments [text block] |
.
|
| Description of accounting policy for segment reporting [text block] |
Note 36
|
| Description of accounting policy for share-based payment transactions [text block] |
7.3.2.16
|
| Description of accounting policy for subsidiaries [text block] |
7.3.1.2
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| Description of accounting policy for transactions with non-controlling interests [text block] |
7.3.1.5
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| Description of accounting policy for transactions with related parties [text block] |
Note 34
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