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STATEMENT OF CASH FLOWS - Schedule of issuance of other equity instruments (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
Supplemental Cash Flow Information [Line Items]  
Fair Value (see note 24) $ 5,470,625
Use for settlement of claim (828,581)
Issuance costs (730,279)
DIP Junior offset (708,975)
Cash inflow 3,202,790
Convertible Notes H  
Supplemental Cash Flow Information [Line Items]  
Fair Value (see note 24) 1,372,837
Use for settlement of claim 0
Issuance costs (24,812)
DIP Junior offset (327,957)
Cash inflow 1,020,068
Convertible Notes I  
Supplemental Cash Flow Information [Line Items]  
Fair Value (see note 24) 4,097,788
Use for settlement of claim (828,581)
Issuance costs (705,467)
DIP Junior offset (381,018)
Cash inflow $ 2,182,722