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LOANS, 2018 Notes (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2019
USD ($)
Dec. 31, 2018
ARS ($)
Dec. 31, 2018
USD ($)
Issuance of notes [Abstract]      
Repurchase of note [1]   $ 2,042,940  
Cancellation and redemption of note   $ 7,378,176  
2014 Note [Member]      
Issuance of notes [Abstract]      
Repurchase of note $ 86,511,165    
Cancellation and redemption of note 120,786,581    
2014 Note [Member] | Top of Range [Member]      
Issuance of notes [Abstract]      
Maximum principal amount 400,000,000    
2018 Note [Member]      
Issuance of notes [Abstract]      
Principal amount $ 500,000,000    
Interest rate 6.75%    
Issuance price 99.725%    
Frequency of interest payment Semiannual, payable el May 2 and November 2 of each year    
Guarantor None    
Percentage of cash flows discounted at an effective rate 7.088%    
2018 Note [Member] | May 2, 2025 [Member]      
Issuance of notes [Abstract]      
Percentage of original principal amount 100.00%    
2018 Note [Member] | Top of Range [Member]      
Issuance of notes [Abstract]      
Maximum principal amount $ 1,200,000,000   $ 700,000,000
Pre-export Finance [Member]      
Issuance of notes [Abstract]      
Principal amount $ 17,000,000    
Interest rate 1.95%    
Frequency of interest payment Monthly, payable on December 4, 2019, January 6, 2020, February 4, 2020 and March 4, 2020    
Guarantor [2] US Treasury bills *    
Pre-export Finance [Member] | March 04, 2020 [Member]      
Issuance of notes [Abstract]      
Percentage of original principal amount 100.00%    
[1] For the years ended on December 31, 2019 and 2018, Ps. 149,238 and Ps. 156,861 respectively were cancelled through the offseting of debit balances maintained with the creditor (Pampa Energia).
[2] Included in "Other financial assets at amortized cost."