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Basis of Preparation of the Consolidated Financial Statements and Summary of Significant Accounting Policies and Practices - Summary of assets and liabilities deconsolidated on the date of the disposal (Detail)
$ in Thousands, $ in Millions
Dec. 31, 2022
MXN ($)
Dec. 31, 2022
USD ($)
Jul. 01, 2022
MXN ($)
Dec. 31, 2021
MXN ($)
Dec. 31, 2021
USD ($)
Nov. 23, 2021
MXN ($)
Dec. 31, 2020
MXN ($)
Dec. 31, 2019
MXN ($)
Current assets                
Cash $ 33,700,949 $ 1,736   $ 38,679,891 $ 1,992   $ 35,917,907 $ 19,745,656
Subscribers, distributors, recoverable taxes, contract assets and other, net 199,424,202 10,272   202,846,597        
Inventories, net 23,995,133 1,236   24,185,310        
Other current assets, net 10,565,422 544   9,452,252        
Total current assets 361,003,710 18,595   404,156,669        
Non-current assets:                
Property, plant and equipment 657,226,210 33,853   731,196,679     722,929,631 $ 639,343,370
Intangibles, net 128,893,422 6,639   143,225,764        
Goodwill 141,121,365 7,269   136,578,194     143,052,859  
Deferred income taxes 128,717,811 6,630   127,287,934     115,370,240  
Other assets, net 39,581,622 2,039   39,956,090        
Rights of use 121,874,096 6,278   90,372,393     101,976,844  
Total assets 1,618,099,344 83,347   1,689,649,849     1,625,048,227  
Non-current lease liabilities 101,246,574 5,215   71,021,868        
Current payables to related parties 7,224,218 372   4,216,882        
Short term liability related to rigth of use of assets 32,902,237 1,695   27,632,357        
Accounts payable 174,472,769 8,987   206,487,681        
Income tax 29,174,066 1,503   33,247,318        
Total liabilities $ 1,180,270,071 $ 60,794   $ 1,235,608,123     $ 1,309,930,609  
Discontinued operations [member] | Tracfone Wireless Inc Tracfone [member]                
Current assets                
Cash           $ 338,439    
Subscribers, distributors, recoverable taxes, contract assets and other, net           12,368,407    
Inventories, net           9,604,658    
Other current assets, net           389,052    
Total current assets           22,700,556    
Non-current assets:                
Property, plant and equipment           1,989,498    
Intangibles, net           555,012    
Goodwill           2,695,557    
Deferred income taxes           1,094,756    
Other assets, net           327,546    
Rights of use           1,625    
Total assets           29,364,550    
Short term liability related to rigth of use of assets           1,625    
Accounts payable           17,446,513    
Income tax           3,267,585    
Deferred revenue           13,187,667    
Total liabilities           33,903,390    
Net assets directly associated with disposal group           $ (4,538,840)    
Discontinued operations [member] | Claro Panama [Member]                
Current assets                
Cash     $ 24,202          
Subscribers, distributors, recoverable taxes, contract assets and other, net     666,114          
Inventories, net     169,851          
Other current assets, net     4,457          
Total current assets     864,624          
Non-current assets:                
Property, plant and equipment     1,102,062          
Intangibles, net     1,810,964          
Deferred income taxes     126,904          
Other assets, net     12,291          
Rights of use     975,019          
Total assets     4,807,328          
Trade and other noncurrent receivables     42,368          
Non-current lease liabilities     855,969          
DeferredIncomeClassifiedNonCurrent     129,062          
Current payables to related parties     1,159          
Short term liability related to rigth of use of assets     198,289          
Accounts payable     576,522          
Income tax     24,981          
Total liabilities     1,912,886          
Net assets directly associated with disposal group     $ 2,894,442