DPM Map for kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable

AddressLabelMetricsData TypePeriod Typejenv-bw2-dim:BasisOfPreparationAxisjenv-bw2-dim:FinancialStatementsTypeAxisperiodrj-dim:ImpairmentCashflowGeneratingUnitAxis
r0.c0kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Description of a cashflow generating unit for which the impairment or reversal of impairment is reportedrj-i:DescriptionOfImpairedCashflowGeneratingUnitnl-types:formattedExplanationItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*
r0.c1kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Description of the amount of impairment or reversal of impairment for a cashflow generating unit per category of assets or reporting segmentrj-i:DescriptionOfImpairmentCashflowAssetCategorynl-types:formattedExplanationItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*
r0.c2kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Description of the amount of impairment or reversal of impairment for a cashflow generating unit per reporting segmentrj-i:DescriptionOfImpairmentCashflowReportingSegmentnl-types:formattedExplanationItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*
r0.c3kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Description of the previous and current asset aggregation as well as the reason for changing the way in which the cash-generating unit is determinedrj-i:DescriptionOfAggregationAndDeterminationCashflowGeneratingUnitnl-types:formattedExplanationItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*
r0.c4kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Description of whether the current value or the value in use is applicablerj-i:DescriptionOfRealisableValueTypenl-types:formattedExplanationItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*
r0.c5kvk-table_1PeriodeTypeJaarrekening1DynamischeAsDurationPeriodeZichtbaar_NotesMaterialImpairmentLossCashflowGeneratingUnitSpecificationTable-y/Presentation ordernl-cd:PresentationOrdernl-types:nonNegativeDecimal20ItemTypeduration$BasisOfPreparationParamjenv-bw2-dm:SeparateMember$FinancialReportingPeriodCurrentStartDateParam/$FinancialReportingPeriodCurrentEndDateParam*