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Consolidated Statements of Cash Flows (Parenthetical) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Entity Information [Line Items]      
Operating activities $ 328,331 $ 434,907 $ 370,026
Acquisition of short term investment (47,886) (106,897) (98,010)
Investing activities (231,565) (111,552) (299,264)
Interest paid (24,629) (55,476) (44,788)
Financing activities (274,000) (208,743) (23,573)
Effects of exchange rate changes and inflation on cash and cash equivalents 48,697 (5,484) (16,302)
Gains on arbitrage bond, classified as investing activities 238 54,687 0
Argentine subsidiaries      
Entity Information [Line Items]      
Operating activities (102,797) (16,383) (38,043)
Acquisition of short term investment (2,034) 0 0
Investing activities (7,168) (41,179) (83)
Interest paid 9,395   77
Interest paid   (8,253)  
Financing activities 71,386 45,933 45,359
Effects of exchange rate changes and inflation on cash and cash equivalents 38,579 11,629 (7,233)
Gains on arbitrage bond, classified as investing activities $ (105) $ 30,544 $ 0