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Income tax and deferred taxes - Tax Effects of Other Comprehensive Income Components (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Income tax related to other income and expense components with a charge or credit to net equity      
Income (losses) from defined benefit plans $ 860 $ (1,582) $ (1,273)
Cash flow hedges 3,049 5,047 7,172
Amount before taxes (expense) gain      
Income tax related to other income and expense components with a charge or credit to net equity      
Income (losses) from defined benefit plans 3,148 (5,843) (6,350)
Cash flow hedges 11,293 18,692 26,622
Reserve for (losses) income from financial assets measured at fair value through other comprehensive income 3,520 190,509 190
Total 17,961 203,358 20,462
(Expense) income for income taxes      
Income tax related to other income and expense components with a charge or credit to net equity      
Income (losses) from defined benefit plans (860) 1,582 1,273
Cash flow hedges (3,049) (5,047) (7,172)
Reserve for (losses) income from financial assets measured at fair value through other comprehensive income (2,723) (57,242) (17)
Total (6,632) (60,707) (5,916)
Amount after taxes      
Income tax related to other income and expense components with a charge or credit to net equity      
Income (losses) from defined benefit plans 2,288 (4,261) (5,077)
Cash flow hedges 8,244 13,645 19,450
Reserve for (losses) income from financial assets measured at fair value through other comprehensive income 797 133,267 173
Total $ 11,329 $ 142,651 $ 14,546