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PARENT COMPANY FINANCIAL INFORMATION (Details) - Schedule of condensed cash flow statement - Separate [Member] - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities      
Proceeds from sales of goods and services $ 4,110,719 $ 2,046,751 $ 2,240,961
Other cash receipts from operating activities 99,874 38,268 52,192
Payments to suppliers for goods and services (4,127,400) (2,075,236) (1,713,223)
Payments to and on behalf of employees (320,849) (295,030) (298,370)
Other payments for operating activities (65,019) (29,363) (27,757)
Interest received  
Income taxes (paid) (647) (898) (2,764)
Other cash inflows (outflows) (55,495) (37,992) 61,532
Net cash flows from operating activities (358,817) (353,500) 312,571
Cash flows from investing activities      
Cash flows from losses of control of subsidiaries or other businesses 752
Cash flows used to obtain control of subsidiaries or other businesses (12,375) (349,125)
Other cash receipts from sales of equity or debt instruments of other entities 30,439
Other payments to acquire equity or debt instruments of other entities (27,199)
Amounts raised from sale of property, plant and equipment 56,378 105,000 75,566
Purchases of property, plant and equipment (705,993) (584,289) (163,022)
Purchases of intangible assets (48,458) (85,449) (70,363)
Interest received 6,974 1,644 3,235
Other cash inflows (outflows) 6,300 18,900
Net cash flow (used in) investing activities (684,799) (555,817) (500,469)
Cash flows from financing activities      
Proceeds from the issuance of shares 549,038
Payments for changes in ownership interests in subsidiaries that do not result in loss of control (3,225)
Amounts from the issuance of other equity instruments 3,202,790
Amounts raised from long-term loans 2,361,875 1,665 1,361,807
Amounts raised from short-term loans 4,856,025 661,609 296,267
Loans from Related Entities 770,522 130,102 373,125
Loans repayments (8,836,572) (135,837) (749,258)
Payments of loans to related entities (1,008,483)
Payments of lease liabilities (116,012) (391,879) (90,335)
Dividends paid
Interest paid (501,539) (90,585) (135,859)
Other cash inflows (outflows) (150,676) (11,034) (107,782)
Net cash flows (used in) financing activities 1,126,968 164,041 944,740
Net increase in cash and cash equivalents before effect of exchanges rate change 83,352 (745,276) 756,842
Effects of variation in the exchange rate on cash and cash equivalents (292)
Net increase (decrease) in cash and cash equivalents 83,060 (745,276) 756,842
CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE YEAR 549,766 1,295,042 538,200
CASH AND CASH EQUIVALENTS AT THE END OF THE YEAR $ 632,826 $ 549,766 $ 1,295,042