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Borrowings
12 Months Ended
Dec. 31, 2025
Disclosure of detailed information about borrowings [abstract]  
Borrowings
18 Borrowings
Annual interest rateMaturity20252024
Banco Citi México (i)
Term SOFR(*)+0.60 %July 2025— 1,666,432 
Bank of America4.250 %August 2026237,894 — 
Total borrowings237,894 1,666,432 
Current237,894 1,666,432 
Non-Current— — 
(*)    Security Overnight Financing Rate (SOFR).
(i)On July 1, 2025, according to the maturity date, the loan agreement was fully settled.