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FINANCIAL RISK MANAGEMENT (Details) - Schedule of financial instruments which are not recorded at fair value - USD ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Not measured at fair value in statement of financial position but for which fair value is disclosed [member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of financial instruments which are not recorded at fair value [Line Items]    
Cash and cash equivalents $ 1,663,059  
Cash on hand 4,277  
Bank balance 732,578  
Overnight 802,220  
Time deposits 123,984  
Other financial assets, current 46,153  
Other financial assets 46,153  
Trade debtors, other accounts receivable and Current accounts receivable 599,180  
Accounts receivable from entities related, current 158  
Other financial assets, not current 33,140  
Accounts receivable, non-current 4,986  
Other current financial liabilities 3,050,059  
Accounts payable for trade and other accounts payable, current 2,322,961  
Accounts payable to entities related, current 812  
Other financial liabilities, not current 7,803,801  
Accounts payable, not current 651,600  
Accounts payable to entities related, non-current 396,423  
At fair value [member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of financial instruments which are not recorded at fair value [Line Items]    
Cash and cash equivalents 1,663,059  
Cash on hand 4,277  
Bank balance 732,578  
Overnight 802,220  
Time deposits 123,894  
Other financial assets, current 46,153  
Other financial assets 46,153  
Trade debtors, other accounts receivable and Current accounts receivable 599,180  
Accounts receivable from entities related, current 158  
Other financial assets, not current 33,140  
Accounts receivable, non-current 4,986  
Other current financial liabilities 2,995,768  
Accounts payable for trade and other accounts payable, current 2,322,961  
Accounts payable to entities related, current 812  
Other financial liabilities, not current 6,509,081  
Accounts payable, not current 651,600  
Accounts payable to entities related, non-current $ 410,706  
Restated [Member] | Not measured at fair value in statement of financial position but for which fair value is disclosed [member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of financial instruments which are not recorded at fair value [Line Items]    
Cash and cash equivalents   $ 850,486
Cash on hand   4,982
Bank balance   329,633
Overnight   350,080
Time deposits   165,791
Other financial assets, current   27,707
Other financial assets   27,707
Trade debtors, other accounts receivable and Current accounts receivable   1,244,348
Accounts receivable from entities related, current   19,645
Other financial assets, not current   46,907
Accounts receivable, non-current   4,725
Other current financial liabilities   1,835,288
Accounts payable for trade and other accounts payable, current   2,222,874
Accounts payable to entities related, current   56
Other financial liabilities, not current   8,530,418
Accounts payable, not current   619,110
Accounts payable to entities related, non-current  
Restated [Member] | At fair value [member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of financial instruments which are not recorded at fair value [Line Items]    
Cash and cash equivalents   850,486
Cash on hand   4,982
Bank balance   329,633
Overnight   350,080
Time deposits   165,791
Other financial assets, current   27,707
Other financial assets   27,707
Trade debtors, other accounts receivable and Current accounts receivable   1,244,348
Accounts receivable from entities related, current   19,645
Other financial assets, not current   46,907
Accounts receivable, non-current   4,725
Other current financial liabilities   2,019,068
Accounts payable for trade and other accounts payable, current   2,222,874
Accounts payable to entities related, current   56
Other financial liabilities, not current   8,846,418
Accounts payable, not current   619,110
Accounts payable to entities related, non-current