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Bank Loans and issuance of Debt Securities - Summary of Reconciliation of Liabilities Arising From Financing Activities (Detail) - MXN ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Disclosure Of Detailed Information About Borrowings [Line Items]      
Beginning balance $ 34,103,846 $ 27,842,584 $ 25,105,870
Repayments on bank loans and payment of debt securities (2,244,132) (7,839,007) (7,441,663)
Non-cash changes, Proceeds from issuance of Debt securities 5,400,000 7,757,588 7,000,000
Non-cash changes, Proceeds from Debt long-term 3,715,459 6,872,783 3,779,413
Non-cash changes, Exchange effects (649,059) (306,934) 167,992
Fair value adjustments in P&L   (6,756) (51,656)
Hedges fair value adjustments 100,786 (216,412) (717,372)
Ending balance 40,426,900 34,103,846 27,842,584
Debt Securities Current Portion [Member]      
Disclosure Of Detailed Information About Borrowings [Line Items]      
Beginning balance 2,256,892 3,964,668 2,659,590
Repayments on bank loans and payment of debt securities (2,244,132) (3,964,668) (2,659,590)
Non-cash changes, Proceeds from Debt long-term 2,715,459 1,500,000  
Non-cash changes, Exchange effects (552,569)    
Non-cash changes, Long-term reclassification 5,654,576 756,892 3,964,668
Ending balance 7,830,226 2,256,892 3,964,668
Long-Term Borrowings [Member]      
Disclosure Of Detailed Information About Borrowings [Line Items]      
Beginning balance 6,232,858 5,196,240 6,195,576
Repayments on bank loans and payment of debt securities 0 (3,874,339) (4,782,073)
Non-cash changes, Proceeds from Debt long-term 1,000,000 5,372,783 3,779,413
Non-cash changes, Exchange effects (96,490) (306,934) 167,992
Non-cash changes, Long-term reclassification (2,654,576) (154,892) (164,668)
Ending balance 4,481,792 6,232,858 5,196,240
Debt Securities [Member]      
Disclosure Of Detailed Information About Borrowings [Line Items]      
Beginning balance 25,855,588 18,700,000 15,500,000
Non-cash changes, Proceeds from issuance of Debt securities 5,400,000 7,757,588 7,000,000
Non-cash changes, Long-term reclassification (3,000,000) (602,000) (3,800,000)
Ending balance 28,255,588 25,855,588 18,700,000
Derivative Financial Instruments [Member]      
Disclosure Of Detailed Information About Borrowings [Line Items]      
Beginning balance (241,492) (18,324) 750,704
Fair value adjustments in P&L   (6,756) (51,656)
Hedges fair value adjustments 100,786 (216,412) (717,372)
Ending balance $ (140,706) $ (241,492) $ (18,324)