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Financial instruments and risk management - Maturity analysis for financial liabilities (Details) - MXN ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments $ 59,823,677 $ 51,995,295
Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 10,329,929 8,127,093
Between one year and five years    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 49,493,748 43,868,202
Jet fuel Zero-Cost collars    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments   9,657
Jet fuel Zero-Cost collars | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments   9,657
Aircraft, engines, land and buildings leases    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 49,650,239 44,130,542
Aircraft, engines, land and buildings leases | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 5,842,492 6,484,092
Aircraft, engines, land and buildings leases | Between one year and five years    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 43,807,747 37,646,450
Aircraft and engine lease return obligation    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 3,887,789 2,504,484
Aircraft and engine lease return obligation | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 451,788 86,801
Aircraft and engine lease return obligation | Between one year and five years    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 3,436,001 2,417,683
Revolving line of credit    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 3,535,649 3,650,612
Revolving line of credit | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 3,535,649 1,096,543
Revolving line of credit | Between one year and five years    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments   2,554,069
Short-term working capital facilities    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments   200,000
Short-term working capital facilities | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments   200,000
Asset backed trust notes ("CEBUR"), in Mexican pesos    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 2,750,000 1,500,000
Asset backed trust notes ("CEBUR"), in Mexican pesos | Within one year    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments 500,000 250,000
Asset backed trust notes ("CEBUR"), in Mexican pesos | Between one year and five years    
Liquidity risk    
Contractual principal payments on financial liabilities and derivative financial instruments $ 2,250,000 $ 1,250,000