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Fair Value Hierarchy - Summary of Financial Instruments Measured at Amortized Cost (Details) - USD ($)
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Disclosure of Financial Instruments [Line Items]      
FVPL $ 1,004,000 $ 8,319,000  
Amortized cost 528,502,000 186,535,000  
Total 529,506,000 194,854,000  
FVPL (886,000) (2,896,000)  
Amortized cost (282,174,000) (142,865,000)  
Total (283,060,000) (145,761,000)  
dLocal Group Limited      
Disclosure of Financial Instruments [Line Items]      
FVPL 0 0  
Financial Assets at Fair Value through Profit or Loss      
Disclosure of Financial Instruments [Line Items]      
FVPL 1,004,000 8,319,000  
Total 1,004,000 8,319,000  
Other Assets      
Disclosure of Financial Instruments [Line Items]      
Amortized cost 1,339,000 2,017,000  
Total 1,339,000 2,017,000  
Trade and Other Receivables      
Disclosure of Financial Instruments [Line Items]      
Amortized cost 190,966,000 72,785,000  
Total 190,966,000 72,785,000  
Cash and Cash Equivalents      
Disclosure of Financial Instruments [Line Items]      
Amortized cost 336,197,000 111,733,000  
Total 336,197,000 111,733,000  
Trade and Other Payables      
Disclosure of Financial Instruments [Line Items]      
Amortized cost (277,160,000) (142,865,000)  
Total (277,160,000) (142,865,000)  
Financial Liabilities      
Disclosure of Financial Instruments [Line Items]      
Amortized cost (5,014,000)    
Total 5,014,000    
Contingent Consideration Liability      
Disclosure of Financial Instruments [Line Items]      
Total (665,000)    
Contingent Consideration Liability | Financial Assets at Fair Value through Profit or Loss      
Disclosure of Financial Instruments [Line Items]      
FVPL (665,000)    
Derivative Financial Instruments      
Disclosure of Financial Instruments [Line Items]      
FVPL (221,000)    
Total (221,000) (2,896,000)  
Derivative Financial Instruments | Financial Assets at Fair Value through Profit or Loss      
Disclosure of Financial Instruments [Line Items]      
FVPL   (2,896,000)  
Level 1      
Disclosure of Financial Instruments [Line Items]      
Total 1,004,000 8,319,000  
Level 1 | Financial Assets at Fair Value through Profit or Loss      
Disclosure of Financial Instruments [Line Items]      
Total 1,004,000   $ 8,319,000
Level 2      
Disclosure of Financial Instruments [Line Items]      
Total 221,000 2,896,000  
Level 2 | Derivative Financial Instruments      
Disclosure of Financial Instruments [Line Items]      
Total (221,000) $ (2,896,000)  
Level 3      
Disclosure of Financial Instruments [Line Items]      
Total 665,000    
Level 3 | Contingent Consideration Liability      
Disclosure of Financial Instruments [Line Items]      
Total $ (665,000)