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OTHER REQUIRED DISCLOSURES (Statement of cash flows) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Disclosure of additional information [Abstract]      
Inventories $ (1,906,524) $ 156,517 $ 510,972
Receivables and others (41,535) (29,539) 6,175
Trade receivables (885,200) (12,110) 161,454
Other liabilities 106,223 37,517 (95,131)
Trade payables 109,247 200,410 (10,786)
Increase (decrease) in working capital [1] (2,617,789) 352,795 572,684
Tax accrued (Note 10) 1,397,139 291,488 196,519
Taxes paid (818,854) (224,927) (405,324)
Income tax accruals less payments, total 578,285 66,561 (208,805)
Interest accrued (Note 9 and 22) 41,964 62,760 104,855
Interest paid (36,063) (55,769) (101,450)
Interest accruals less payments, total $ 5,901 $ 6,991 $ 3,405
[1] The working capital is impacted by non-cash movement of $ (12.5) million as of December 31, 2021 ($(18.0) million and $(70.0) million as of December 31, 2020 and 2019, respectively) due to the variations in the exchange rates used by subsidiaries with functional currencies different from the U.S. dollar.