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Provisions - Changes - (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period $ 115,492 $ 101,584
Charges for the year 34,166 26,913
Provisions reversed with a credit to income (1,569) (2,284)
Incorporation to the scope of consolidation 735  
Amounts used (20,419) (11,215)
Provision against equity (3,568) (4,511)
Transfers from/(to) other accounts 277 (307)
Exchange differences and others (8,740) 3,233
Transfer from liabilities associated with assets held for sale   1,465
Additions from business combinations (see Note 5) 735  
Disposals from business divestitures (17)  
Balance at end of period 116,357 115,492
Provisions For Pensions [Member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 59,195 60,876
Charges for the year 4,611 5,082
Provisions reversed with a credit to income (36) (1,321)
Amounts used (2,076) (2,304)
Provision against equity (3,568) (4,511)
Transfers from/(to) other accounts 277  
Exchange differences and others (5,677) 1,373
Balance at end of period 52,726 59,195
Environment provision [member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 3,467 3,083
Charges for the year 103 133
Amounts used   (93)
Exchange differences and others (359) 344
Balance at end of period 3,211 3,467
Provisions for litigation [member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 11,732  
Charges for the year 392 10,807
Provisions reversed with a credit to income   (237)
Amounts used (9,595)  
Transfers from/(to) other accounts   (931)
Exchange differences and others (130) 231
Balance at end of period 2,399 11,732
Provisions for third-party liability [Member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 7,639 5,835
Charges for the year 229 2,451
Provisions reversed with a credit to income (9) (181)
Amounts used (239)  
Transfers from/(to) other accounts   12
Exchange differences and others (350) (454)
Balance at end of period 7,270 7,639
Provisions for C02 emissions allowances [Member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 7,281 5,512
Charges for the year 26,348 6,946
Amounts used (5,470) (5,907)
Exchange differences and others (189) 730
Balance at end of period 27,970 7,281
Other provisions [member]    
Reconciliation of changes in other provisions [abstract]    
Balance at beginning of period 26,178 26,278
Charges for the year 2,483 1,494
Provisions reversed with a credit to income (1,524) (545)
Incorporation to the scope of consolidation 735  
Amounts used (3,039) (2,911)
Transfers from/(to) other accounts   612
Exchange differences and others (2,035) 1,009
Transfer from liabilities associated with assets held for sale   1,465
Additions from business combinations (see Note 5) 735  
Disposals from business divestitures (17)  
Balance at end of period $ 22,781 $ 26,178