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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, 2023
MXN ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
MXN ($)
Dec. 31, 2022
USD ($)
Jul. 01, 2022
MXN ($)
Dec. 31, 2021
MXN ($)
Nov. 23, 2021
MXN ($)
Dec. 31, 2020
MXN ($)
Current assets                
Cash $ 26,597,773 $ 1,574 $ 33,700,949 $ 1,995   $ 38,679,891   $ 35,917,907
Subscribers, distributors, recoverable taxes, contract assets and other, net 206,802,150 12,242 199,424,202          
Inventories, net 19,271,625 1,141 23,995,133          
Other current assets, net 11,222,259 664 10,565,422          
Total current assets 340,166,988 20,136 361,003,710          
Non-current assets:                
Property, plant and equipment 628,650,904 37,213 657,226,210     731,196,679   $ 722,929,631
Intangibles, net 121,498,519 7,192 128,893,422          
Goodwill 146,078,897 8,647 141,121,365     136,578,194    
Deferred income taxes 137,883,622 8,162 128,717,811          
Other assets, net 37,643,712 2,228 39,581,622          
Rights of use 113,568,320 6,723 121,874,096     90,372,393    
Total assets 1,564,185,960 92,591 1,618,099,344     1,689,649,849    
Non-current lease liabilities 100,794,146 5,967 101,246,574          
Current payables to related parties 6,766,826 401 7,224,218          
Short term liability related to rigth of use of assets 24,375,010 1,443 32,902,237          
Accounts payable 162,097,416 9,595 174,472,769          
Income tax 29,516,162 1,747 29,174,066          
Total liabilities $ 1,142,483,578 $ 67,629 $ 1,180,270,071     $ 1,235,608,123    
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