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Basis of Presentation of the Consolidated Financial Statements - Schedule of Effect of Changes in Foreign Exchange Rates (Details)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Brazilian real    
Currency [Line Items]    
Variation of average exchange rate (in percentage) (7.00%) 0.30%
Variation of closing exchange rate (in percentage) 16.90% (4.10%)
Pound sterling    
Currency [Line Items]    
Variation of average exchange rate (in percentage) 2.70% (2.00%)
Variation of closing exchange rate (in percentage) (4.80%) (2.10%)
New peruvian sol    
Currency [Line Items]    
Variation of average exchange rate (in percentage) (0.30%) (0.40%)
Variation of closing exchange rate (in percentage) (4.80%) 0.70%
Argentine peso    
Currency [Line Items]    
Variation of closing exchange rate (in percentage) 16.70% 78.80%
Chilean peso    
Currency [Line Items]    
Variation of average exchange rate (in percentage) (11.20%) 1.10%
Variation of closing exchange rate (in percentage) 6.40% 5.70%
Colombian peso    
Currency [Line Items]    
Variation of average exchange rate (in percentage) 5.80% (4.30%)
Variation of closing exchange rate (in percentage) 7.80% (21.60%)
Mexican peso    
Currency [Line Items]    
Variation of average exchange rate (in percentage) (2.80%) 10.30%
Variation of closing exchange rate (in percentage) 13.50% (11.20%)