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FINANCIAL RISK MANAGEMENT (Details) - Schedule of sensitivity analysis - Interest Rate Derivative Contracts [Member] - Interest rate risk [Member] - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Bottom of Range [Member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of sensitivity analysis [Line Items]    
Increase (decrease) futures curve in libor 3 months -46.31  
Positions on effect on profit or loss before tax   $ (42,110)
Top of Range [Member]    
FINANCIAL RISK MANAGEMENT (Details) - Schedule of sensitivity analysis [Line Items]    
Increase (decrease) futures curve in libor 3 months +46.31  
Positions on effect on profit or loss before tax   $ 42,110