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Financial liabilities - Conditions and statement of liabilities (Details)
€ in Thousands, $ in Thousands
1 Months Ended 12 Months Ended 19 Months Ended
Jan. 31, 2022
EUR (€)
Jul. 31, 2023
EUR (€)
Jul. 31, 2023
USD ($)
Jan. 31, 2022
EUR (€)
Jan. 31, 2022
USD ($)
Dec. 31, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Dec. 31, 2021
EUR (€)
Jul. 31, 2023
EUR (€)
Jul. 31, 2023
USD ($)
Dec. 31, 2023
USD ($)
Oct. 26, 2023
EUR (€)
Oct. 26, 2023
USD ($)
Apr. 30, 2023
EUR (€)
Apr. 30, 2023
USD ($)
Dec. 31, 2022
USD ($)
Jan. 31, 2022
USD ($)
Financial liabilities                                  
Principal amount           € 82,395 € 57,825                    
Borrowings drawdowns           25,500 40,568 € 1,772                  
Carrying amount           80,339 60,122                    
Bank overdrafts           0 998                    
Financial liabilities, at fair value           80,339 60,122                    
Bank Overdrafts Secured By Short-Term Deposits.           € 0 2,376                    
Secured Bank Loans With Maturity Period 2022 To 27                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           8.15%         8.15%            
Principal amount | $                     $ 40,691         $ 39,015  
Carrying amount | $                     39,880         41,312  
Financial liabilities, at fair value | $                     $ 39,880         $ 41,312  
Interest rate           8.15%         8.15%            
Bank overdrafts, one                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           0.00%         0.00%            
Principal amount             499                    
Carrying amount             499                    
Financial liabilities, at fair value             499                    
Interest rate           0.00%         0.00%            
Bank overdrafts, two                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           0.00%         0.00%            
Principal amount             2,376                    
Carrying amount             2,376                    
Financial liabilities, at fair value             2,376                    
Interest rate           0.00%         0.00%            
Bank overdrafts, three                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           0.00%         0.00%            
Principal amount             499                    
Carrying amount             499                    
Financial liabilities, at fair value             499                    
Interest rate           0.00%         0.00%            
Lease liabilities                                  
Financial liabilities                                  
Principal amount           € 14,577 15,436                    
Carrying amount           14,577 15,436                    
Financial liabilities, at fair value           € 14,577 € 15,436                    
Convertible Loan [Member]                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           12.80%         12.80%            
Principal amount | $                     $ 27,127            
Carrying amount | $                     25,882            
Financial liabilities, at fair value | $                     $ 25,882            
Interest rate           12.80%         12.80%            
Minimum | Lease liabilities                                  
Financial liabilities                                  
Nominal interest rate at commencement of leases           2.10% 2.10%       2.10%         2.10%  
Maximum | Lease liabilities                                  
Financial liabilities                                  
Nominal interest rate at commencement of leases           7.55% 7.55%       7.55%         7.55%  
Overdraft facility                                  
Financial liabilities                                  
Short-term deposits, pledged as security           € 500 € 2,500                    
Second Overdraft facility                                  
Financial liabilities                                  
Short-term deposits, pledged as security             € 500                    
Loan facility                                  
Financial liabilities                                  
Nominal interest rate (as a percent) 7.93%     7.93%                         7.93%
Interest rate 7.93%     7.93%                         7.93%
Transaction Cost           € 1,403                      
Loan facility | Centogene GmbH, CentoSafe B.V, and Centogene US, LLC [Member]                                  
Financial liabilities                                  
Principal amount € 40,200     € 40,200                         $ 45,000
Loan facility | Centogene GmbH, CentoSafe B.V, and Centogene US, LLC [Member] | Diagnostic and pharmaceutical [Member]                                  
Financial liabilities                                  
Product Revenue As Part Of Covenants For Loan Facility                 € 44,300 $ 50,000              
Loan facility first tranche                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           11.36%         11.36%            
Product Revenue As Part Of Covenants For Loan Facility       30,000                          
Interest rate           11.36%         11.36%            
Borrowings interest rate 0.07%                                
Loan facility first tranche | Centogene GmbH, CentoSafe B.V, and Centogene US, LLC [Member]                                  
Financial liabilities                                  
Borrowings drawdowns       22,300 $ 25,000                        
Loan facility second tranche                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           17.11%         17.11%            
Product Revenue As Part Of Covenants For Loan Facility       € 40,000                          
Interest rate           17.11%         17.11%            
Borrowings interest rate 4.13%                                
Loan facility second tranche | Centogene GmbH, CentoSafe B.V, and Centogene US, LLC [Member]                                  
Financial liabilities                                  
Borrowings drawdowns   € 18,600 $ 20,000                            
Security agreement                                  
Financial liabilities                                  
Loans Requirement | $                             $ 5,000    
Unrestricted Cash On Deposit                           € 9,100      
Third amendment to loan and security agreement                                  
Financial liabilities                                  
Loans Requirement | $                         $ 5,000        
Unrestricted Cash On Deposit                       € 9,100          
Transaction Cost           € 645                      
Gains on change in fair value of liability           € 491                      
Third amendment to loan and security agreement | Minimum                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           6.15%         6.15%            
Effective interest rate (as a percent)           11.38%         11.38%            
Interest rate           6.15%         6.15%            
Borrowings interest rate           8.00%                      
Third amendment to loan and security agreement | Maximum                                  
Financial liabilities                                  
Nominal interest rate (as a percent)           7.93%         7.93%            
Effective interest rate (as a percent)           17.14%         17.14%            
Interest rate           7.93%         7.93%            
Borrowings interest rate           8.15%