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OTHER REQUIRED DISCLOSURES (Statement of cash flows) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of additional information [Abstract]      
Inventories $ 438,090 $ (1,906,524) $ 156,517
Receivables and others 10,888 (41,535) (29,539)
Trade receivables 573,811 (885,200) (12,110)
Other liabilities 46,403 106,223 37,517
Trade payables 83,306 109,247 200,410
Increase (decrease) in working capital [1] 1,152,498 (2,617,789) 352,795
Tax expense (income) 573,728 1,397,139 291,488
Taxes paid (1,769,289) (818,854) (224,927)
Income tax accruals less payments, total (1,195,561) 578,285 66,561
Interest accrued (13,940) (20,948) 13,339
Interest received 31,880 62,912 49,421
Interest paid (42,735) (36,063) (55,769)
Interest accruals less payments, total $ (24,795) $ 5,901 $ 6,991
[1] The working capital is impacted by non-cash movement of $ 24.9 million as of December 31, 2022 ($(12.5) million and $(18.0) million as of December 31, 2021 and 2020, respectively) due to the variations in the exchange rates used by subsidiaries with functional currencies different from the U.S. dollar.