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OTHER FINANCIAL LIABILITIES (Details) - Schedule of hedging instruments - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
OTHER FINANCIAL LIABILITIES (Details) - Schedule of hedging instruments [Line Items]    
Foreign currency derivative R$/US$ [1] $ 191
Interest rate swaps [Member]    
OTHER FINANCIAL LIABILITIES (Details) - Schedule of hedging instruments [Line Items]    
Fair values of net assets/ (liabilities) [2] 8,816 (2,734)
Fuel options [Member]    
OTHER FINANCIAL LIABILITIES (Details) - Schedule of hedging instruments [Line Items]    
Fair values of net assets/ (liabilities) [3] $ 12,594 $ 17,641
[1] Hedge significant variations in expected cash flows associated with the market risk implicit in changes in exchange rates, particularly the BRL/R$. These contracts are recorded as cash flow hedge contracts.
[2] They cover the significant variations in the cash flows associated with the market risk implicit in the increases in the 3-month LIBOR interest rate, SOFR, among others, for long-term loans originated by the acquisition or rental of aircraft and Bank credits. These contracts are recorded as cash flow hedge contracts.
[3] Hedge significant variations in cash flows associated with market risk implicit in the changes in the price of future fuel purchases. These contracts are recorded as cash flow hedges.