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STATEMENT OF CASH FLOWS COMPLEMENTARY INFORMATION (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Statement Of Cash Flows Complementary Information      
Income tax $ 318 $ 124 $ 77
Accrued interest 283 185 141
Depreciations and amortizations 267 212 205
Share of profit of joint ventures and associates 2 (105) (100)
Profit from sale/acquisition of companies´ interest       (9) (17)
Results for property, plant and equipment sale and derecognition 1 (2) (1)
Result for intangible assets sale (2) (2)
Impairment of property, plant and equipment, intangible assets and inventories 39 38 4
(Impairment) Recovery of impairment of financial assets 4 (1)
Result from present value measurement 10 14 1
Changes in the fair value of financial instruments (392) (94) 24
Exchange differences, net (190) (85) (3)
Result from exchange of CB 14
Result from repurchase of CB (1) (6)
Readjustment of investment plan  9
Costs of concessions agreements completion 5
Contractual indemnity (7)
Contractual penalty 7
Compensation for arbitration award (37)
Provision for contingecies, net 8 4 3
Provision for environmental remediation 4 15
Fair value of consortiums' previous interest (7)
Impairment of other receivables 5
Ecuador's transactional agreement  5
Expenses recovery (8)
Accrual of defined benefit plans 26 14 11
Compensation agreements  37 19 2
Derecognition of unproductive wells  7
Other (4) (4) 3
Adjustments to reconcile net profit to cash flows from operating activities $ 406 $ 302 $ 362