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Fair values (Tables)
6 Months Ended
Jun. 30, 2022
Disclosure of fair value measurement of assets [abstract]  
Fair values measurement

 Fair values measurement

    Carrying amount  Fair value
June 30, 2022      Level 1  Level 2  Level 3  Total
    Financial assets            
Financial assets measured at fair value                
Derivative financial instruments   1,113    1,113    1,113
Current portion of fair value of derivative financial instruments   513    513    513
    1,626            
                 
    Financial liabilities            
Financial liabilities not measured at fair value                
Long-term borrowings   29,250  —   29,747  —   29,747
    29,250            

 

 

    Carrying amount  Fair value
December 31, 2021      Level 1  Level 2  Level 3  Total
    Financial assets            
Financial assets measured at fair value                
Derivative financial instruments   417  —   417  —   417
    417            
                 
    Financial liabilities            
Financial liabilities measured at fair value                
Derivative financial instruments   92  —   92  —   92
    92            
Financial liabilities not measured at fair value                
Long-term borrowings   31,750  —   32,155  —   32,155
    31,750            

Valuation techniques and significant unobservable inputs

Financial instruments measured at fair value      
       
Type  Valuation Techniques  Significant unobservable inputs
       
Derivative financial instruments:      
Interest Rate Swap  Discounted cash flow    Discount rate
       

Financial instruments not measured at fair value

      
Asset and liabilities not measured at fair value      
Type  Valuation Techniques  Significant unobservable inputs
       
Long-term borrowings  Discounted cash flow  Discount rate