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Subsequent Events - Additional Information (Detail)
$ in Thousands
12 Months Ended
Mar. 31, 2025
USD ($)
Mar. 21, 2025
USD ($)
Feb. 07, 2025
MXN ($)
Feb. 06, 2025
MXN ($)
Dec. 31, 2024
MXN ($)
Dec. 31, 2023
MXN ($)
Dec. 31, 2022
MXN ($)
Mar. 31, 2024
MXN ($)
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid         $ 7,929,881 $ 2,244,132 $ 7,839,007  
Issuance of debt securities         $ 36,903,722 $ 31,255,588 $ 26,457,588  
Variable Rate of TIIE-28 plus 25 Basis Points [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Unsecured loan               $ 3,000,000
Events after Reporting Period [Member] | Gap 20 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid       $ 3,000,000        
Events after Reporting Period [Member] | Gap 25 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Issuance of debt securities       6,000,000        
Events after Reporting Period [Member] | Gap 21 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid       2,500,000        
Events after Reporting Period [Member] | GAP 15-2 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid     $ 1,500,000          
Events after Reporting Period [Member] | Variable Rate Of TIIE Plus 50 Basis Points [Member] | Gap 25 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Issuance of debt securities       $ 3,000,000        
Borrowings interest rate basis       TIIE plus 50 basis points        
Debt securities,basis points       50.00%        
Maturity date       Feb. 01, 2028        
Events after Reporting Period [Member] | Fixed Interest Rate [Member] | GAP22-2L [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Issuance of debt securities       $ 3,000,000        
Maturity date       Mar. 04, 2032        
Description of derivative instruments variable interest rate basis       interest every 182 days at a fixed annual rate of 9.67%, with principal payment on March 4, 2032.        
Interest rate       9.67%        
Events after Reporting Period [Member] | Variable Rate of 28-day T I I E Plus Sixty Basis Points [Member] | Gap 24 [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid     $ 5,648,134          
Maturity period     5 years          
Borrowings interest rate basis     28-day TIIE plus 60 basis points          
Debt securities,basis points     6.00%          
Events after Reporting Period [Member] | Variable SOFR Rate Plus 25 Basis Points [Member] | Loan Refinanced By Banco Nacional de Mexico S A [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Maturity period   6 months            
Debt securities,basis points   2.50%            
Unsecured loan   $ 40,000,000            
Debt Securities Maturity Date   Sep. 18, 2025            
Events after Reporting Period [Member] | Interest SOFR Rate Plus 200 Basis Points [Member] | MBJA [Member]                
Disclosure Of Nonadjusting Events After Reporting Period [Line Items]                
Borrowings paid $ 6,000,000              
Debt securities,basis points 20.00%              
Unsecured loan $ 60,000,000              
Commission fee $ 300,000