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Details of treasury and other financial risks - Text Details (Detail)
€ in Millions, $ in Millions
12 Months Ended
Dec. 31, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Dec. 31, 2021
EUR (€)
Dec. 31, 2023
USD ($)
Aug. 31, 2023
EUR (€)
Dec. 31, 2022
USD ($)
Oct. 31, 2022
EUR (€)
Dec. 31, 2020
EUR (€)
Sep. 03, 2020
EUR (€)
Mar. 09, 2020
EUR (€)
Details of treasury and other financial risks [Line Items]                    
Cash and cash equivalents € 1,869.0 € 1,172.0 € 2,303.0         € 3,226.0    
Short-term deposits, classified as cash equivalents 1,399.0 482.0                
Notional amount   500.0                
Euro Medium-Term Note program 3,300.0 2,000.0     € 500.0       € 10,000.0 € 10,000.0
Other non-current financial assets 619.0 660.0 630.0              
Contractual capital commitments 153.0 127.0                
Accounts payable known to have been sold onwards under supplier finance arrangements 114.0 151.0                
Committed future leases not yet commenced 128.0                  
Minimum payments under sale-and-leaseback arrangements 55.0 72.0                
Discounted unguaranteed residual value of assets subject to finance lease 0.0 € 0.6                
Hedge tenor of net anticipated exposure   15 months                
Net anticipated exposures hedge layer size   20.00%                
Net anticipated exposures hedge maximum   80.00%                
Equity 12,061.0 € 13,283.0 € 14,475.0         11,901.0    
Net fair value of transactional hedges (10.0)                  
Increase in the value of the EUR against all currencies   10.00% 10.00%              
Change in the value of transactional hedges following a 10% increase in the value of a currency against EUR (116.0)                  
Impact on income statement following a change in the value of transactional hedges due to 10% increase in the value of the EUR against all currencies 40.0                  
Impact on equity following a change in the value of transactional hedges due to 10% increase in the value of the EUR against all currencies 77.0                  
Other comprehensive income, before tax, exchange differences on translation of foreign operations 579.0                  
Change in currency translation reserve following 10% decrease USD against EUR 1,146.0                  
Change in currency translation reserve following 10% increase USD against EUR 1,400.0                  
External bond funding for a nominal value designated as net investment hedges   € 1,490.0   $ 1,474            
External bond funding book value designated as net investment hedges (1,325.0) 1,378.0                
Gain (loss) on hedge ineffectiveness recognised in profit or loss 2.0   € 1.1              
Change in the value of derivatives following a 10% increase in the value of the EUR against all currencies 52.0 192.0                
Cross-currency interest rate swaps nominal value | $           $ 500        
Fair value liability of cross-currency interest rate swaps designated as net investment hedges   147.0                
Net fair value of financing derivatives   147.0                
Borrowings 7,689.0 8,201.0 6,980.0       € 1,000.0      
Non-current portion of non-current borrowings 7,035.0 7,270.0 6,473.0              
Current borrowings and current portion of non-current borrowings € 654.0 € 931.0 506.0              
Ratio of fixed-rate long-term debt to total outstanding debt 89.00% 80.00%   89.00%   80.00%        
Borrowings, maturity 6.0                  
Instantaneous increase or decrease in long-term interest rates 1.00%                  
Threshold of cash and short term deposits with A- credit rating € 10.0                  
Captive retained per claim for general, product and professional liability claims 25.0                  
Captive retained per claim for general, product and professional liability claims, aggregate 50.0                  
Captive retained per claim for cyber claims, aggregate 15.0                  
Bottom of range [member]                    
Details of treasury and other financial risks [Line Items]                    
Policy deductibles per occurrence 0.0                  
Top of range [member]                    
Details of treasury and other financial risks [Line Items]                    
Policy deductibles per occurrence 10.0                  
United States of America [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 13,300.0                  
Netherlands [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 1,400.0                  
China [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 1,300.0                  
Other countries [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure   € 500.0                
Germany [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 786.0                  
United Kingdom of Great Britain and Northern Ireland [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 731.0                  
Japan [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 614.0                  
Singapore [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 202.0                  
Israel [Member]                    
Details of treasury and other financial risks [Line Items]                    
Country risk exposure 214.0                  
US Dollar [Member]                    
Details of treasury and other financial risks [Line Items]                    
Change in the value of transactional hedges following a 10% increase in the value of a currency against EUR (64.0) (68.0)                
Change in the value of derivatives following a 10% increase in the value of the EUR against all currencies   € 191.0                
Change in the value of derivatives following a 10% increase in the value of a currency against EUR 11.0                  
Reserve of exchange differences on translation [member]                    
Details of treasury and other financial risks [Line Items]                    
Description of methods and assumptions used in preparing sensitivity analysis   10%                
Cash flow hedges [member]                    
Details of treasury and other financial risks [Line Items]                    
Gain (loss) on hedge ineffectiveness € 1.0                
Reserve of cash flow hedges [member]                    
Details of treasury and other financial risks [Line Items]                    
Equity 6.0 (2.0) € (25.0)         € 23.0    
Change in value of forward elements of forward contracts and time value of options[Member]                    
Details of treasury and other financial risks [Line Items]                    
Equity 19.0                  
Level 1 of fair value hierarchy [member]                    
Details of treasury and other financial risks [Line Items]                    
Financial assets, at fair value 14.0 32.0                
Level 1 of fair value hierarchy [member] | Equity investments [member]                    
Details of treasury and other financial risks [Line Items]                    
Other non-current financial assets 14.0                  
Financial assets, at fair value 14.0 € 32.0                
Level 2 and 3 of fair value hierarchy [member] | Equity investments [member]                    
Details of treasury and other financial risks [Line Items]                    
Financial assets measured at fair value through other comprehensive income 219.0                  
Committed revolving credit facility [Member]                    
Details of treasury and other financial risks [Line Items]                    
Undrawn borrowing facilities € 1,000.0                  
Royal Philips NV [Member]                    
Details of treasury and other financial risks [Line Items]                    
Notional amount | $       $ 2,500