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Provisions - Schedule of funding status of the defined benefit obligations, Other Foreign Subsidiaries (Details) - EUR (€)
€ in Millions
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Other foreign subsidiaries      
Disclosure of net defined benefit liability (asset) [line items]      
Present value of the obligations € 7,578 € 8,018 € 8,434
Charge to the participants 107 106 112
Fair value of plan assets 7,321 7,167 7,182
Provisions - Provisions for pensions 150 745 1,140
Internal provisions for pensions 1,166 1,478 1,694
Net assets for pensions (122) (64) (83)
Unrecognised net assets for pensions (894) € (669) € (471)
Brazil      
Disclosure of net defined benefit liability (asset) [line items]      
Present value of the obligations 5,185    
Charge to the participants 107    
Fair value of plan assets 5,710    
Provisions - Provisions for pensions (632)    
Internal provisions for pensions 314    
Net assets for pensions (52)    
Unrecognised net assets for pensions € (894)