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Note 19 - Cash and Cash Equivalents and Other Investments
12 Months Ended
Dec. 31, 2020
Disclosure of Cash and Cash Equivalents and Other Investments [Abstract]  
Note 19 - Cash and Cash Equivalents and Other Investments

19        Cash and cash equivalents and other investments

 

 



Year ended December 31,


(all amounts in thousands of U.S. dollars)


2020



2019


Cash and cash equivalents



 




 


Cash at banks



117,807




118,314


Liquidity funds



98,183




1,166,697


Short – term investments



368,691




269,288


 



584,681




1,554,299


Other investments - current



 




 


Fixed income (time-deposit, zero coupon bonds, commercial papers)



763,697




65,874


Bonds and other fixed income



108,791




144,502


 



872,488




210,376


Other investments - Non-current



 




 


Bonds and other fixed income



239,422




18,012


Others



7,660




6,922


 



247,082




24,934