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Finance income and cost (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Analysis of finance income      
Interest on cash and equivalents $ 12,036 $ 2,872 $ 4,384
Interest on asset backed trust notes 711 280 301
Interest on recovery of guarantee deposits 155 379 99
Total finance income 12,902 3,531 [1] 4,784 [1]
Analysis of finance cost      
Leases financial cost 174,769 128,159 108,907
Interest on asset backed trust notes 12,049 5,672 5,448
Cost of letter credit notes 4,131 3,025 3,410
Other finance costs 584 1,589 481
Interest on debts and borrowings 533 703 768
Bank fees and others 308 226 176
Financial instruments loss 161   19,130
Total finance costs 192,535 139,374 [1] 138,320 [1]
Capitalized borrowing costs      
Interest on debts and borrowings 8,448 7,801 18,640
Capitalized interest (7,915) (7,098) (17,872)
Interest on debts and borrowing in the consolidated statements of operations $ 533 $ 703 $ 768
[1] The comparative Consolidated financial statements have been re-presented from Mexican peso to U.S. dollar to reflect the Company’s change in presentation currency.