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Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2022
Text block [abstract]  
Schedule of foreign exchange rates
The principal exchange rates used for the translation of results, cash flows and balance sheets into US Dollar were as follows:
Average
Year-end
US Dollar 1 =
20222021202020222021
Brazilian Real
5.16485.39685.15685.27945.5716
Canadian Dollar
1.30171.25381.34121.35351.2716
Chinese Renminbi
6.73346.44936.90106.89876.3513
Danish Krone
7.08056.29196.53886.96626.5652
Euro0.95180.84600.87710.93680.8829
Hungarian Forint
373.1682303.3739307.9331375.1400325.9300
Indian Rupee
78.629573.939174.117782.721174.3009
Philippine Peso
54.531849.298349.607155.729050.9800
Polish Zloty
4.46313.86333.89714.38814.0579
Pound Sterling
0.81200.72700.77980.83100.7417
Romanian Leu
4.69304.16414.24324.63574.3692
Serbian Dinar
111.783699.4732103.1510109.8553103.7590
Swiss Franc
0.95510.91450.93870.92300.9119
Ukrainian Hryvnia
32.673027.258826.985736.917227.2850