v3.26.1
Fair value measurement (Tables)
6 Months Ended
Jun. 30, 2026
Disclosure of financial assets [abstract]  
Schedule of Financial Assets
The following table provides a breakdown for financial assets by category at June 30, 2026.

At June 30, 2026
Financial assetsFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal Note123
Derivative financial instruments9,2619,261129,261
Cash and cash equivalents226,715226,715226,715
Trade receivables192,331192,331192,331
Other non-current financial assets4,81535,80840,62336,1604,463
Other current financial assets64,2513,5923,74171,584137,0168,95155,617
Financial assets69,06612,853458,595540,5147,016473,41860,080

The following table provides an additional breakdown for other current financial assets at June 30, 2026.
At June 30, 2026
Other current financial assetsFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal 123
Private equity22,15622,15622,156
Hedge funds11,62711,62711,627
Private debt10,97810,97810,978
Real estate funds10,85610,85610,856
Money market funds and floating income5,2103,1028,3123,1025,210
Guarantee deposits3,4733,4733,473
Equity3,4243,4243,424
Fixed income490490490
Financial receivables268268268
Total other current financial assets64,2513,5923,74171,5847,0168,95155,617

The following table presents the changes in level 3 items for the six months ended June 30, 2026.

(€ thousands)Fair value
Level 3
At December 31, 202558,799
Investments1,372
Disposals(2,543)
Fair value adjustments1,854
Realized gains62
Exchange rate gains536
At June 30, 202660,080

The fair value of Level 2 items is mainly estimated on the basis of data provided by pricing services (non-active markets) and the fair value of Level 3 items is estimated on the basis of the last available net asset value (NAV).
The following tables provide a breakdown of financial assets by category at December 31, 2025.
At December 31, 2025
Financial assetsFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal Note123
Derivative financial instruments 7,0557,055127,055
Cash and cash equivalents220,121220,121220,121
Trade receivables227,087227,087227,087
Other non-current financial assets4,88633,61038,49634,0734,423
Other current financial assets68,6357,0471,75077,4321310,30912,74754,376
Financial assets73,52114,102482,568570,19110,309501,08358,799
The following table provides an additional breakdown for other current financial assets at December 31, 2025.
At December 31, 2025
Other current financial assetsFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal 123
Private equity21,56521,56521,565
Money market funds and floating income10,7133,15113,8643,15110,713
Private debt11,72011,72028411,436
Hedge funds11,37011,37011,370
Real estate funds10,00510,00510,005
Fixed income3,8963,8963,896
Equity3,2623,2623,262
Guarantee deposits1,4921,4921,492
Financial receivables258258258
Total other current financial assets68,6357,0471,75077,43210,30912,74754,376
Schedule of Financial Liabilities
The following table provides a breakdown of financial liabilities by category at June 30, 2026.
At June 30, 2026
Financial liabilitiesFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal Note123
Derivative financial instruments 19,44119,4411219,441
Non-current borrowings128,144128,14415128,144
Current borrowings96,65396,6531596,653
Other non-current financial liabilities 109,688109,68816109,688
Trade payables and customer advances317,060317,060317,060
Lease liabilities – Current / Non-current927,195927,19517927,195
Financial liabilities109,68819,4411,469,0521,598,181670,986927,195

The following table provides a breakdown of financial liabilities by category at December 31, 2025.

At December 31, 2025
Financial liabilitiesFair value Level
(€ thousands)FVPLFVOCIAmortized costTotal Note123
Derivative financial instruments4,5764,576124,576
Non-current borrowings162,123162,12315162,123
Current borrowings84,06684,0661584,066
Other non-current financial liabilities105,632105,63216105,632
Trade payables and customer advances326,245326,245326,245
Lease liabilities – Current / Non-current731,589731,58917731,589
Financial liabilities105,6324,5761,304,0231,414,231682,642731,589