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STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance $ 10,853,860 $ 10,365,684
Obtainment Capital 661,609 1,985,480
Payment Capital (566,414) (915,774)
Payment Interest (104,621) (210,418)
Interest accrued and others (447,952) [1] (371,112)
Reclassifications  
Ending balance 10,396,482 10,853,860
Loans to exporters [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 151,701 341,475
Obtainment Capital 165,000
Payment Capital (359,000)
Payment Interest (4,140)
Interest accrued and others 7,460 [1] 8,366
Reclassifications
Ending balance 159,161 151,701
Bank Loans [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 525,273 217,255
Obtainment Capital 265,627
Payment Capital (4,870)
Payment Interest (546) (2,397)
Interest accrued and others (2,889) [1] 49,658
Reclassifications
Ending balance 521,838 525,273
Guaranteed Obligations [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 1,318,856 2,157,327
Obtainment Capital 192,972
Payment Capital (14,605) (48,576)
Payment Interest (17,405) (21,163)
Interest accrued and others (513,276) [1] (823,984)
Reclassifications (263,035) (137,720)
Ending balance 510,535 1,318,856
Other Guaranteed Obligations [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 1,939,116 580,432
Obtainment Capital 661,609 1,361,881
Payment Capital (26,991) (42,721)
Payment Interest (28,510) (27,744)
Interest accrued and others 135,405 [1] 67,268
Reclassifications 44,793
Ending balance 2,725,422 1,939,116
Obligation with the public [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 2,183,407 2,064,934
Obtainment Capital
Payment Capital (774)
Payment Interest (55,613)
Interest accrued and others 69,791 [1] 174,860
Reclassifications
Ending balance 2,253,198 2,183,407
Financial leases [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 1,614,501 1,730,843
Obtainment Capital
Payment Capital (421,452) (236,744)
Payment Interest (40,392) (52,155)
Interest accrued and others (181,717) [1] 34,837
Reclassifications 218,242 137,720
Ending balance 1,189,182 1,614,501
Other loans [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 101,261
Obtainment Capital
Payment Capital (101,026)
Payment Interest (1,151)
Interest accrued and others 76,508 [1] 916
Reclassifications
Ending balance 76,508
Lease liability [Member]    
STATEMENT OF CASH FLOWS (Details) - Schedule of liabilities arising from financing activities [Line Items]    
Beginning balance 3,121,006 3,172,157
Obtainment Capital
Payment Capital (103,366) (122,063)
Payment Interest (17,768) (46,055)
Interest accrued and others (39,234) [1] 116,967
Reclassifications
Ending balance $ 2,960,638 $ 3,121,006
[1] Accrued interest and others, includes ThUS$ 458,642 (ThUS$ (891,407) as of December 31, 2020), associated with the rejection of fleet contracts.