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Financial risk management objectives and policies (Tables)
12 Months Ended
Dec. 31, 2021
Disclosure of detailed information about financial instruments [abstract]  
Financial risk management objectives and policies - Interest rate risk
  Increase/(Decrease) in basis points   Effect on income / (loss)
2021      
$ Libor +15   (52)
  -20   69
2020      
$ Libor +15   (57)
  -20   75
Financial risk management objectives and policies - Foreign currency risk
  Change in rate   Effect on income / (loss)
       
2021 +10%   (478)
  -10%   478
       
2020 +10%   (258)
  -10%   258
Financial risk management objectives and policies - Concentration of credit risk table
   2021  %  2020  %  2019  %
A  7,726  18%       
B  4,571  11%       
C      751  6%  3,476  22%
Other   30,914  71%  11,002  94%  12,147  78%
Total  43,211  100%  11,753  100%  15,623  100%
Financial risk management objectives and policies - Liquidity risk
Year ended December 31, 2021  Less than 3 months  3 to 12 months  1 to 5 years  More than 5 years  Total
Long-term debt  1,566  4,614  29,325    35,505
Lease liabilities  92  275  585    952
Accrued liabilities and other payables  3,676        3,676
Trade accounts payables  1,100        1,100
Current portion of fair value of derivative financial instruments  23  69      92
Total  6,457  4,958  29,910    41,325

 

Year ended December 31, 2020  Less than 3 months  3 to 12 months  1 to 5 years  More than 5 years  Total
Long-term debt  2,302  6,752  32,362    41,416
Lease liabilities  106  106  426    638
Accrued liabilities and other payables  2,159        2,159
Trade accounts payables  4,758        4,758
Total  9,325  6,858  32,788    48,971