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Financial risk management - D.5. Liquidity risk (Details) - USD ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Debt and financing $ (7,744) $ (5,691)    
Lease liabilities (1,167) (1,021)    
Cash and cash equivalents 895 [1],[2] 875 [2] $ 1,164 $ 528
Pledged deposits 35 0    
Net cash (debt) including derivatives related to debt (7,961) (5,825)    
Trade payables (excluding accruals) (38) (46)    
Derivative financial liabilities (20) (12)    
Put option liability (290) [1] (262)    
Trade receivables 405 [1] 351    
Liquidity risk        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Debt and financing (7,744) (5,691)    
Lease liabilities (1,167) (1,021)    
Cash and cash equivalents 895 875    
Pledged deposits 35 0    
Refundable deposit 0 0    
Derivative financial instruments 20 12    
Net cash (debt) including derivatives related to debt (7,961) (5,825)    
Future interest commitments related to debt and financing   (1,484)    
Future interest commitments related to debt and financing (1,524)      
Future interest commitments related to leases (704) (759)    
Trade payables (excluding accruals) (624) (576)    
Other financial liabilities (including accruals) (1,141) (1,214)    
Put option liability (290) (262)    
Trade receivables 405 351    
Other financial assets 442 735    
Net financial liabilities (11,396) (9,034)    
Liquidity risk | Less than 1 year        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Debt and financing (1,840) (113)    
Lease liabilities (171) (123)    
Cash and cash equivalents 895 875    
Pledged deposits 35 0    
Refundable deposit 0 0    
Derivative financial instruments 0 0    
Net cash (debt) including derivatives related to debt (1,082) 639    
Future interest commitments related to debt and financing   (311)    
Future interest commitments related to debt and financing (340)      
Future interest commitments related to leases (144) (146)    
Trade payables (excluding accruals) (624) (576)    
Other financial liabilities (including accruals) (1,141) (1,185)    
Put option liability (290) (262)    
Trade receivables 405 351    
Other financial assets 344 568    
Net financial liabilities (2,871) (922)    
Liquidity risk | 1 to 5 years        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Debt and financing (2,294) (1,824)    
Lease liabilities (591) (525)    
Cash and cash equivalents 0 0    
Pledged deposits 0 0    
Refundable deposit 0 0    
Derivative financial instruments 20 12    
Net cash (debt) including derivatives related to debt (2,865) (2,336)    
Future interest commitments related to debt and financing   (1,069)    
Future interest commitments related to debt and financing (1,086)      
Future interest commitments related to leases (380) (410)    
Trade payables (excluding accruals) 0 0    
Other financial liabilities (including accruals) 0 (29)    
Put option liability 0 0    
Trade receivables 0 0    
Other financial assets 98 167    
Net financial liabilities (4,234) (3,676)    
Liquidity risk | Greater than 5 years        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Debt and financing (3,610) (3,755)    
Lease liabilities (404) (373)    
Cash and cash equivalents 0 0    
Pledged deposits 0 0    
Refundable deposit 0 0    
Derivative financial instruments 0 0    
Net cash (debt) including derivatives related to debt (4,014) (4,128)    
Future interest commitments related to debt and financing   (104)    
Future interest commitments related to debt and financing (98)      
Future interest commitments related to leases (179) (203)    
Trade payables (excluding accruals) 0 0    
Other financial liabilities (including accruals) 0 0    
Put option liability 0 0    
Trade receivables 0 0    
Other financial assets 0 0    
Net financial liabilities $ (4,291) $ (4,435)    
Commercial Banks | Liquidity risk        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Concentration risk percentage 41.00% 20.00%    
Bonds | Liquidity risk        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Concentration risk percentage 46.00% 64.00%    
Development Finance Institutions | Liquidity risk        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Concentration risk percentage 0.00% 1.00%    
Leases | Liquidity risk        
Disclosure of nature and extent of risks arising from financial instruments [line items]        
Concentration risk percentage 13.00% 15.00%    
[1] The assets and liabilities of Tigo Guatemala are fully consolidated since the acquisition of the remaining 45% shareholding on November 12, 2021. See note A.1.2. for further details. As a result, numbers might not be directly comparable with previous years' figures.
[2] The cash flows of Tigo Guatemala are fully consolidated since the acquisition of the remaining 45% shareholding on November 12, 2021. See note A.1.2. for further details. As a result, numbers might not be directly comparable with previous years' figures.