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Interest-bearing liabilities (Details)
€ in Millions, $ in Millions
12 Months Ended
Feb. 16, 2023
EUR (€)
Dec. 31, 2022
EUR (€)
Dec. 31, 2021
EUR (€)
Feb. 21, 2023
EUR (€)
Feb. 09, 2023
EUR (€)
Dec. 31, 2022
USD ($)
Borrowings information            
Carrying amount   € 4,477 € 4,653      
Fair value gains related to fair value hedge accounting   (120) 166      
Fair value adjustments related to discontinued fair value hedge   180 203      
2.00% Senior Notes, due March 2024            
Borrowings information            
Nominal   € 750        
Interest rate (as percent)   2.00%       2.00%
Carrying amount   € 736 759      
2.00% Senior Notes, due March 2024 | Borrowing related activity            
Borrowings information            
Nominal         € 750  
Interest rate (as percent)         2.00%  
Repayment of borrowings € 372          
EIB R&D Loan Facility            
Borrowings information            
Nominal   500        
Carrying amount   500 500      
NIB R&D Loan Facility            
Borrowings information            
Nominal   250        
Carrying amount   250 250      
2.375% Senior Notes, due May 2025            
Borrowings information            
Nominal   € 500        
Interest rate (as percent)   2.375%       2.375%
Carrying amount   € 478 497      
2.375% Senior Notes, due May 2025 | Borrowing related activity            
Borrowings information            
Nominal         € 500  
Interest rate (as percent)         2.375%  
Repayment of borrowings 208          
2.00% Senior Notes, due March 2026            
Borrowings information            
Nominal   € 750        
Interest rate (as percent)   2.00%       2.00%
Carrying amount   € 716 760      
2.00% Senior Notes, due March 2026 | Borrowing related activity            
Borrowings information            
Nominal         € 750  
Interest rate (as percent)         2.00%  
Repayment of borrowings € 120          
4.375% Senior Notes            
Borrowings information            
Nominal | $           $ 500
Interest rate (as percent)   4.375%       4.375%
Carrying amount   € 436 464      
6.50% Senior Notes            
Borrowings information            
Nominal | $           $ 74
Interest rate (as percent)   6.50%       6.50%
Carrying amount   € 70 66      
3.125% Senior Notes(1)            
Borrowings information            
Nominal   € 500        
Interest rate (as percent)   3.125%       3.125%
Carrying amount   € 457 497      
6.45% Senior Notes            
Borrowings information            
Nominal | $           $ 206
Interest rate (as percent)   6.45%       6.45%
Carrying amount   € 194 183      
6.625% Senior Notes            
Borrowings information            
Nominal | $           $ 500
Interest rate (as percent)   6.625%       6.625%
Carrying amount   € 478 553      
Nokia Corporation and various subsidiaries Other liabilities            
Borrowings information            
Carrying amount   162 124      
Credit facilities and funding program            
Borrowings information            
Carrying amount   2,500 2,500      
Revolving Credit Facility            
Borrowings information            
Nominal   1,500        
Finnish Commercial Paper Programme            
Borrowings information            
Nominal   750        
Euro-Commercial Paper Programme            
Borrowings information            
Nominal   1,500        
Euro Medium Term Note Programme            
Borrowings information            
Nominal   5,000        
Carrying amount   € 2,500 € 2,500      
Euro Medium Term Note Programme | Borrowing related activity            
Borrowings information            
Nominal       € 5,000