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Bank Loans and issuance of Debt Securities - Summary of Issuance of Debt Securities (Parenthetical) (Detail) - MXN ($)
$ in Thousands
12 Months Ended
May 07, 2021
Jun. 25, 2020
Feb. 13, 2020
Mar. 29, 2019
Nov. 09, 2017
Apr. 06, 2017
Jul. 08, 2016
Feb. 20, 2015
Dec. 31, 2021
May 27, 2021
Dec. 31, 2020
Dec. 31, 2019
Jan. 29, 2016
Disclosure of debt securities [line items]                          
Issuance of debt securities                 $ 22,500,000   $ 17,000,000 $ 12,000,000  
Unsecured Debt GAP-15 [Member] | TIIE Rate Plus 24 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities               $ 1,100,000       2,200,000 $ 1,100,000
Borrowings interest rate basis                 28-day TIIE plus 24 basis points        
Derivative financial instrument basis points               0.24%         0.24%
Maturity period               5 years          
Maturity date               Feb. 14, 2020          
Unsecured Debt GAP-15-2 [Member] | Fixed Rate Interest [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities               $ 1,500,000 $ 1,500,000   1,500,000 1,500,000  
Maturity period               10 years          
Maturity date               Feb. 07, 2025          
Interest rate               7.08%          
Unsecured Debt GAP 16 [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities                   $ 1,500,000      
Unsecured Debt GAP 16 [Member] | TIIE Rate Plus 49 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities             $ 1,500,000       1,500,000 1,500,000  
Borrowings interest rate basis                 28-day TIIE plus 49 basis points        
Derivative financial instrument basis points             0.49%            
Maturity period             5 years            
Maturity date                 Jul. 02, 2021        
Unsecured Debt GAP-17 [Member] | TIIE Rate Plus 49 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities           $ 1,500,000     $ 1,500,000   1,500,000 1,500,000  
Borrowings interest rate basis           28-day TIIE plus 49 basis points              
Derivative financial instrument basis points           0.49%              
Maturity period           5 years              
Interest rate                 5.715%        
Unsecured Debt GAP-17-2 [Member] | TIIE Rate Plus 44 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities         $ 2,300,000       $ 2,300,000   2,300,000 2,300,000  
Borrowings interest rate basis         28-day TIIE plus 44 basis points                
Derivative financial instrument basis points         0.44%                
Maturity period         5 years                
Interest rate                 5.715%        
Unsecured Debt GAP-19 [Member] | TIIE Rate Plus 44 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities       $ 3,000,000         $ 3,000,000   3,000,000 $ 3,000,000  
Borrowings interest rate basis       28-day TIIE plus 44 basis points                  
Derivative financial instrument basis points       0.44%                  
Maturity period       5 years                  
Interest rate                 5.715%        
Unsecured Debt GAP-20 [Member] | TIIE Rate Plus 17 Basis Point [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities     $ 3,000,000                    
Borrowings interest rate basis     28-day TIIE plus 17 basis points                    
Derivative financial instrument basis points     0.17%                    
Maturity period     5 years                    
Interest rate                 5.715%        
Unsecured Debt GAP-20-2 [Member] | TIIE Plus 85 Basis Points [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities   $ 602,000             $ 602,000   602,000    
Borrowings interest rate basis   28-day TIIE plus 85 basis points                      
Derivative financial instrument basis points   0.85%                      
Maturity period   3 years                      
Interest rate                 5.715%        
Unsecured Debt GAP-20-3 [Member] | Fixed Rate Interest [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities   $ 3,598,000             $ 3,598,000   $ 3,598,000    
Maturity period   7 years                      
Interest rate   8.14%                      
Unsecured Debt GAP-21 [Member] | TIIE Plus 60 Basis Points [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities $ 2,500,000               2,500,000        
Borrowings interest rate basis 28-day TIIE plus 60 basis points                        
Derivative financial instrument basis points 0.60%                        
Maturity period 4 years                        
Unsecured Debt GAP-21-2 [Member] | Variable rate interest [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities $ 3,000,000               3,000,000        
Maturity period 7 years                        
Interest rate 7.91%                        
Unsecured Debt GAP-21V [Member] | TIIE Plus 25 Basis Points [Member]                          
Disclosure of debt securities [line items]                          
Issuance of debt securities                 $ 1,500,000        
Borrowings interest rate basis                 28 days at a variable rate of TIIE-28 plus 25 basis points        
Derivative financial instrument basis points                 0.25%        
Maturity period                 5 years        
Maturity date                 Oct. 09, 2026