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Bank Loans and Notes Payable - Hedging Derivatives (Details) - MXN ($)
3 Months Ended 12 Months Ended
Jun. 30, 2023
Dec. 31, 2024
Dec. 31, 2023
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 67,216,000,000 $ 52,369,000,000
Interest pay rate 5.46%    
9.4% variable to 4.4% fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Interest pay rate   9.40%  
Interest receive rate   4.40%  
9.4% variable to 4.4% fixed interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Interest pay rate   9.40%  
Interest receive rate   4.40%  
5.0% Variable To 3.6% Fixed Interest Rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Interest pay rate   3.60%  
Interest receive rate   1.90%  
MXN/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 14,330,000,000 $ 6,031,000,000
Interest pay rate   8.90% 56.10%
Interest receive rate   3.90% 3.60%
MXN/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 10,000,000,000 $ 10,000,000,000
Interest pay rate   8.90% 8.90%
Interest receive rate   3.50% 3.50%
MXN/USD | 9.4% variable to 4.4% fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 24,330,000,000  
Interest pay rate   9.40% 9.40%
Interest receive rate   4.40% 4.40%
MXN/USD | 5.0% Variable To 3.6% Fixed Interest Rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 12,465,000,000  
EUR/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 12,414,000,000 $ 10,940,000,000
Interest pay rate   1.90% 1.90%
Interest receive rate   0.70% 0.70%
BRL/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 7,094,000,000 $ 5,912,000,000
Interest pay rate   12.10% 11.60%
Interest receive rate   2.30% 2.30%
BRL/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 9,729,000,000 $ 8,109,000,000
Interest pay rate   8.00% 8.00%
Interest receive rate   2.80% 2.80%
Colombian pesos | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 1,184,000,000 $ 987,000,000
Interest pay rate   6.30% 6.30%
Interest receive rate   2.80% 2.80%
Mexican pesos | Fixed to variable interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 10,134,000,000 $ 8,447,000,000
Interest pay rate   4.80% 5.70%
Interest receive rate   1.90% 1.90%
Mexican pesos | Variable to fixed interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 2,331,000,000 $ 1,943,000,000
Interest pay rate   3.60% 3.60%
Interest receive rate   1.90% 1.90%
Year one      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Year one | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   4,483,000,000 $ 954,000,000
Year one | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount     2,000,000
Year one | MXN/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year one | MXN/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year one | BRL/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year one | Mexican pesos | Variable to fixed interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year two      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 6,251,000,000  
Year two | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   7,243,000,000 49,834,000,000
Year two | BRL/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 5,067,000,000  
Interest pay rate   12.90%  
Interest receive rate   2.10%  
Year two | Colombian pesos | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 1,184,000,000  
Interest pay rate   6.30%  
Interest receive rate   2.80%  
Year three      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 4,358,000,000  
Year three | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   19,300,000,000 6,045,000,000
Year three | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   2,339,000,000  
Year three | BRL/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 2,027,000,000  
Interest pay rate   2.80%  
Interest receive rate   2.80%  
Year three | Colombian pesos | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year three | Mexican pesos | Variable to fixed interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 2,331,000,000  
Interest pay rate   3.60%  
Interest receive rate   1.90%  
Year four      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 6,819,000,000  
Year four | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   6,819,000,000 8,949,000,000
Year four | EUR/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 6,819,000,000  
Interest pay rate   1.70%  
Interest receive rate   0.50%  
Year four | BRL/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year five      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Year five | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   2,182,000,000 6,009,000,000
Year five | EUR/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year five | BRL/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Year five | Colombian pesos | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 0  
Interest pay rate   0.00%  
Interest receive rate   0.00%  
Six years and thereafter      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 49,788,000,000  
Six years and thereafter | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   10,134,000,000 $ 8,447,000,000
Six years and thereafter | MXN/USD | Fixed to variable interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 14,330,000,000  
Interest pay rate   8.90%  
Interest receive rate   3.90%  
Six years and thereafter | MXN/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 10,000,000,000  
Interest pay rate   8.90%  
Interest receive rate   3.50%  
Six years and thereafter | MXN/USD | 9.4% variable to 4.4% fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Interest pay rate   9.40%  
Interest receive rate   4.40%  
Six years and thereafter | EUR/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 5,595,000,000  
Interest pay rate   2.10%  
Interest receive rate   1.00%  
Six years and thereafter | BRL/USD | Fixed to fixed interest rate | Currency swap contract      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 9,729,000,000  
Interest pay rate   8.00%  
Interest receive rate   2.80%  
Six years and thereafter | Mexican pesos | Fixed to variable interest rate | Interest rate swaps      
Disclosure of financial instruments by type of interest rate [line items]      
Face amount   $ 10,134,000,000  
Interest pay rate   4.80%  
Interest receive rate   1.90%