Debt - Schedule of Debt Recognized At Amortized Cost (Parenthetical) (Details) € in Millions, SFr in Millions, $ in Millions, ¥ in Billions |
3 Months Ended |
12 Months Ended |
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Mar. 31, 2026
EUR (€)
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Dec. 31, 2025
EUR (€)
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Mar. 31, 2026
USD ($)
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Mar. 31, 2026
CNY (¥)
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Mar. 31, 2026
CHF (SFr)
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Dec. 31, 2025
USD ($)
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Dec. 31, 2025
CNY (¥)
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Dec. 31, 2025
CHF (SFr)
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| Hermes |
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| Disclosure of detailed information about borrowings [line items] |
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| Percentage of guarantee |
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95.00%
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| $500.0 million 7.000% Senior Notes due 2029 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 500.0
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$ 500.0
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| Secured Notes, Interest rate |
[1] |
7.00%
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7.00%
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7.00%
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7.00%
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7.00%
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7.00%
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7.00%
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7.00%
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| Expiry year |
[1] |
2029
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2029
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| $720.0 million 9.125% Senior Notes due 2031 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 720.0
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$ 720.0
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| Secured Notes, Interest rate |
[1] |
9.125%
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9.125%
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9.125%
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9.125%
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9.125%
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9.125%
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9.125%
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9.125%
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| Expiry year |
[1] |
2031
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2031
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| $1.7 billion 5.875% Senior Notes due 2033 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 1,700.0
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$ 1,700.0
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| Secured Notes, Interest rate |
[1] |
5.875%
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5.875%
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5.875%
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5.875%
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5.875%
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5.875%
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5.875%
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5.875%
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| Expiry year |
[1] |
2033
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2033
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| EUR 6.2 Million Loan, Fixed at 0.3%, Due 2026 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1] |
€ 6.2
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€ 6.2
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| Fixed interest rate |
[1] |
0.30%
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0.30%
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0.30%
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0.30%
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0.30%
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0.30%
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0.30%
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0.30%
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| Expiry year |
[1] |
2026
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2026
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| 20.0 million CHF loan, fixed at 0.25% - 2.0%, due 2027. |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | SFr |
[1] |
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SFr 20.0
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SFr 20.0
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| Expiry year |
[1] |
2027
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2027
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| 20.0 million CHF loan, fixed at 0.25% - 2.0%, due 2027. | Minimum |
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| Disclosure of detailed information about borrowings [line items] |
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| Fixed interest rate |
[1] |
0.25%
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0.25%
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0.25%
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0.25%
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0.25%
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0.25%
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0.25%
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0.25%
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| 20.0 million CHF loan, fixed at 0.25% - 2.0%, due 2027. | Maximum |
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| Disclosure of detailed information about borrowings [line items] |
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| Fixed interest rate |
[1] |
2.00%
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2.00%
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2.00%
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2.00%
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2.00%
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2.00%
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2.00%
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2.00%
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| SACE Financing |
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| Disclosure of detailed information about borrowings [line items] |
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| Expiry year |
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12
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| Percentage of insurance policy to lenders covering of principal and interest of facility amount |
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100.00%
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| Viking Kvasir | EUR 20.3 Million Loan, Variable Base Rate Plus 2.4%, Due 2026 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1],[2] |
€ 20.3
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€ 20.3
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| Variable interest rate |
[1] |
2.40%
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2.40%
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2.40%
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2.40%
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2.40%
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2.40%
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2.40%
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2.40%
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| Expiry year |
[1] |
2026
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2026
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| Viking Vali, Viking Tir, Viking Ullur, Viking Sigyn | $102.0 Million Loan, Fixed at 5.22% - 5.26%, Due 2028 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 102.0
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$ 102.0
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| Expiry year |
[1] |
2028
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2028
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| Viking Vali, Viking Tir, Viking Ullur, Viking Sigyn | $102.0 Million Loan, Fixed at 5.22% - 5.26%, Due 2028 | Minimum |
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| Disclosure of detailed information about borrowings [line items] |
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| Fixed interest rate |
[1] |
5.22%
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5.22%
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5.22%
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5.22%
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5.22%
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5.22%
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5.22%
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5.22%
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| Viking Vali, Viking Tir, Viking Ullur, Viking Sigyn | $102.0 Million Loan, Fixed at 5.22% - 5.26%, Due 2028 | Maximum |
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| Disclosure of detailed information about borrowings [line items] |
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| Fixed interest rate |
[1] |
5.26%
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5.26%
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5.26%
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5.26%
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5.26%
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5.26%
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5.26%
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5.26%
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| Viking Helgrim | $15.1 Million Loan, Variable Base Rate Plus 2.35%, Due 2029 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1],[3] |
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$ 15.1
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$ 15.1
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| Variable interest rate |
[1],[3] |
2.35%
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2.35%
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2.35%
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2.35%
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2.35%
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2.35%
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2.35%
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2.35%
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| Expiry year |
[1],[3] |
2029
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2029
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| Viking Hervor, Viking Gersemi, Viking Kari, Viking Radgrid, Viking Skaga, Viking Fjorgyn | EUR 153.2 Million Loan, Variable at SOFR plus CAS and 1.30% - 1.40%, Due Through 2029 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1],[2],[3] |
€ 153.2
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€ 153.2
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| Variable interest rate |
[1] |
1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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| Expiry year |
[1] |
2029
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2029
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| Viking Gymir, Viking Egdir | EUR 53.6 Million Loan, Variable at SOFR plus CAS and 1.30% - 1.40%, Due Through 2029 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1],[2],[3] |
€ 53.6
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€ 53.6
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| Variable interest rate |
[1] |
1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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1.30%
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| Expiry year |
[1] |
2029
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2029
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| Viking Jupiter | $290.2 Million Financial Liability, Due 2031 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 290.2
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$ 290.2
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| Expiry year |
[1] |
2031
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2031
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| Viking Neptune | EUR 316.6 Million Loan, Fixed at 1.81%, Due 2034 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1],[4] |
€ 316.6
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€ 316.6
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| Fixed interest rate |
[1] |
1.81%
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1.81%
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1.81%
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1.81%
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1.81%
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1.81%
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1.81%
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1.81%
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| Expiry year |
[1] |
2034
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2034
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| Viking Saturn | EUR 316.6 Million Loan, Fixed at 1.87%, Due 2035 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | € |
[1],[4] |
€ 316.6
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€ 316.6
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| Fixed interest rate |
[1] |
1.87%
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1.87%
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1.87%
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1.87%
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1.87%
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1.87%
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1.87%
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1.87%
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| Expiry year |
[1] |
2035
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2035
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| Viking Vela | $401.0 million loan, fixed at 3.64%, due 2036 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1],[4] |
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$ 401.0
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$ 401.0
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| Fixed interest rate |
[1] |
3.64%
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3.64%
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3.64%
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3.64%
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3.64%
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3.64%
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3.64%
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3.64%
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| Expiry year |
[1] |
2036
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2036
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| Viking Vesta | $430.5 million loan, fixed at 3.70%, due 2037 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1],[4] |
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$ 430.5
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$ 430.5
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| Fixed interest rate |
[1] |
3.70%
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3.70%
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3.70%
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3.70%
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3.70%
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3.70%
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3.70%
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3.70%
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| Expiry year |
[1] |
2037
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2037
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| Viking Yidun | CNY 2.3 billion financial liability, due 2040 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability | ¥ |
[1] |
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¥ 2.3
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¥ 2.3
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| Expiry year |
[1] |
2040
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2040
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| Viking Star, Viking Sea and Viking Sky | $675.0 million 5.000% Senior Secured Notes due 2028 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 675.0
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$ 675.0
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| Secured Notes, Interest rate |
[1] |
5.00%
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5.00%
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5.00%
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5.00%
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5.00%
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5.00%
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5.00%
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5.00%
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| Expiry year |
[1] |
2028
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2028
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| Viking Venus | $350.0 million 5.625% Senior Secured Notes due 2029 |
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| Disclosure of detailed information about borrowings [line items] |
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| Loan and financial liability |
[1] |
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$ 350.0
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$ 350.0
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| Secured Notes, Interest rate |
[1] |
5.625%
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5.625%
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5.625%
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5.625%
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5.625%
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5.625%
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5.625%
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5.625%
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| Expiry year |
[1] |
2029
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2029
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