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Financial Risk Management - Additional Information (Detail)
$ in Thousands
1 Months Ended 12 Months Ended
Mar. 01, 2022
MXN ($)
Apr. 30, 2020
USD ($)
Jan. 31, 2020
USD ($)
Dec. 31, 2022
MXN ($)
Airline
Dec. 31, 2021
MXN ($)
Dec. 31, 2020
MXN ($)
Dec. 31, 2022
USD ($)
Mar. 01, 2022
USD ($)
Mar. 02, 2020
MXN ($)
Feb. 27, 2019
MXN ($)
Feb. 26, 2019
MXN ($)
May 02, 2017
MXN ($)
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       96.10% 93.80% 99.10%            
Number of major client airlines | Airline       3                
Deposit received from customers       $ 916,961 $ 788,435 $ 696,059            
Proportion of expenses in foreign currency       70.00%                
Description of variable rate and effect of debt       The Company has financial debt denominated in pesos and U.S. dollars, which accrues interest at a variable rate based on TIIE 28-days and LIBOR 28-days, respectively. If on the 2022 of year-end closing date the variable interest rates to which the Company is exposed had been 100 basis points (higher) or lower than the interest rate at year-end with the other variables remaining constant                
Debt instrument interest rate period       30-day Libor rate                
Loans       $ 34,345,337                
Debt securities [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Debt securities, value                 $ 3,000,000 $ 3,000,000 $ 2,300,000 $ 1,500,000
Accounts Receivable [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Expected loss rates base, actual credit loss experience period       3 years                
Interbank Equilibrium Interest Rate [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Debt instrument interest rate period       variable rate based on TIIE 28-days                
London Inter Bank Offering Rate [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Debt instrument interest rate period       LIBOR 28-days                
30-Day Libor Interest Plus [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Borrowings interest rate basis 2.85                      
30-day Libor Interest Plus 3.10% [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Debt instrument interest rate period 30-day Libor interest plus 3.10%                      
Fixed annual interest rate 1.59%             1.59%        
Debt securities, value $ 30,000             $ 30,000,000.0        
Borrowings interest rate basis 3.10                      
30-day Libor plus 2.85% [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Debt instrument interest rate period 30-day Libor plus 2.85%                      
Fixed annual interest rate 1.785%             1.785%        
Debt securities, value $ 20,000             $ 20,000,000.0        
TIIE Rate [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Fixed annual interest rate                 6.33% 8.03% 8.0315% 7.21%
Likely [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Sensitivity analysis of risk variable percentage       0.25%                
Possible [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Sensitivity analysis of risk variable percentage       0.50%                
Stress [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Sensitivity analysis of risk variable percentage       1.00%                
Financial liabilities at fair value through profit or loss, category [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Fair value of financial liabilities at amortized cost       $ 33,910,543 27,735,962 24,280,945            
MBJA [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Description of tariffs for the passengers       In MBJ, the tariffs are billed and charged to domestic and international passengers in USD, which are assimilated into a fixed amount for 12 months (from April to March), and then updated for inflation in the United States.                
International tariff per passenger     $ 19.34                  
Increase in tariff of an international passenger     24.74                  
Domestic tariff per passenger     $ 5.52                  
Proportion of expenses in foreign currency       70.00%                
Debt instrument interest rate period 30-day Libor interest rate                      
Debt securities, value               $ 58,000,000.0        
Loans       $ 1,189,703 $ 1,429,459 1,544,964            
PAC Kingston Airport Limited (PACKAL) [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Description of tariffs for the passengers       In PACKAL, the tariffs are billed and charged to domestic and international passengers in USD, which they are assimilated into a fixed amount for 12 months (from April to March), and then updated for inflation in the United States.                
International tariff per passenger   $ 16.81                    
Increase in tariff of an international passenger   28.80                    
Domestic tariff per passenger   5.83                    
Increase in tariff of domestic tariff per passenger   $ 9.99                    
Credit risk [Member] | Mexico [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       0.00%                
Credit risk [Member] | Jamaica [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       0.00%                
Credit risk [Member] | Tarifa de Uso Aeroportuario [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Maximum grace period for reimbursement         60 days              
Deposit received from customers       $ 916,961 $ 788,435 $ 696,059            
Credit risk [Member] | Tarifa de Uso Aeroportuario [Member] | Bond or Cash Equivalent [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Guarantee period         30 days              
Credit risk [Member] | Tarifa de Uso Aeroportuario [Member] | Major Client Airlines [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       34.00% 35.50% 33.50%            
Credit risk [Member] | Tarifa de Uso Aeroportuario [Member] | Top of Range [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Credit term         60 days              
Credit risk [Member] | Tarifa de Uso Aeroportuario [Member] | Other Clients [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       52.80% 52.50% 50.00%            
Credit risk [Member] | Company's Airports [Member] | Aeronautical And Non Aeronautical [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Percentage from maximum tariff per traffic unit by the mexican airports       82.90% 86.90% 87.30%            
Liquidity risk [Member]                        
Disclosure of detailed information about financial instruments [Line Items]                        
Operating expenses and financial debt payment period       60 days                
Credit lines       $ 1,000,000     $ 30,000,000.0