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Debt - Unsecured Bonds (Detail) - EUR (€)
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Debt [Line Items]      
Non-current portion of non-current borrowings € 7,270,000,000 € 6,473,000,000 € 5,705,000,000
Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 5,439,000,000 4,545,000,000  
Euro [Member] | Unsecured EUR Bonds Due 09/06/2023 1/2 percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings   500,000,000  
Euro [Member] | Unsecured EUR Bonds Due 09/06/2023 1/2 percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 0.634%    
Euro [Member] | Unsecured EUR Bonds Due 05/02/2024 3/4 percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings   500,000,000  
Euro [Member] | Unsecured EUR Bonds Due 05/02/2024 3/4 percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 0.861%    
Euro [Member] | Unsecured EUR Bonds Due 22/05/2026 1/2 percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 750,000,000 750,000,000  
Euro [Member] | Unsecured EUR Bonds Due 22/05/2026 1/2 percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 0.608%    
Euro [Member] | Unsecured EUR Bonds Due 05/02/2028 1 3/8 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 500,000,000 500,000,000  
Euro [Member] | Unsecured EUR Bonds Due 05/02/2028 1 3/8 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 1.523%    
Euro [Member] | Unsecured EUR Bonds Due 30/03/2025 1 3/8% [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 346,000,000 500,000,000  
Euro [Member] | Unsecured EUR Bonds Due 30/03/2025 1 3/8% [Member] | Effective interest rate [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Borrowings, interest rate 1.509%    
Euro [Member] | Unsecured EUR Bonds Due 30/03/2030 2% [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 500,000,000 500,000,000  
Euro [Member] | Unsecured EUR Bonds Due 30/03/2030 2% [Member] | Effective interest rate [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings 0.02128    
Euro [Member] | Unsecured EUR Bonds Due 05/05/2027 1 7/8% [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 750,000,000    
Euro [Member] | Unsecured EUR Bonds Due 05/05/2027 1 7/8% [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 2.049%    
Euro [Member] | Unsecured EUR Bonds Due 05/11/2029 2 1/8% [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 650,000,000    
Euro [Member] | Unsecured EUR Bonds Due 05/11/2029 2 1/8% [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 2.441%    
Euro [Member] | Unsecured EUR Bonds Due 05/05/2033 2 5/8% [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 600,000,000    
Euro [Member] | Unsecured EUR Bonds Due 05/05/2033 2 5/8% [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 2.71%    
US Dollar [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Unsecured bonds adjustments [1] € (57,000,000) (37,000,000)  
US Dollar [Member] | Unsecured USD Bonds Due 05/15/2025 7 3/4 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 51,000,000 56,000,000  
US Dollar [Member] | Unsecured USD Bonds Due 05/15/2025 7 3/4 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 7.429%    
US Dollar [Member] | Unsecured USD Bonds Due 06/01/2026 7 1/5 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 119,000,000 120,000,000  
US Dollar [Member] | Unsecured USD Bonds Due 06/01/2026 7 1/5 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 6.885%    
US Dollar [Member] | Unsecured USD Bonds Due 05/15/2025 7 1/8 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 78,000,000 74,000,000  
US Dollar [Member] | Unsecured USD Bonds Due 05/15/2025 7 1/8 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 6.794%    
US Dollar [Member] | Unsecured USD Bonds Due 11/03/2038 6 7/8 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 683,000,000 641,000,000  
US Dollar [Member] | Unsecured USD Bonds Due 11/03/2038 6 7/8 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 7.21%    
US Dollar [Member] | Unsecured USD Bonds Due 03/15/2042 5 Percent [Member] | Unsecured bonds [Member]      
Debt [Line Items]      
Non-current portion of non-current borrowings € 470,000,000 € 441,000,000  
US Dollar [Member] | Unsecured USD Bonds Due 03/15/2042 5 Percent [Member] | Effective interest rate [Member] | Long-term borrowings [member]      
Debt [Line Items]      
Borrowings, interest rate 5.273%    
[1] Adjustments related to both EUR and USD bonds and concern bond discounts, premium and transaction costs.