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Note 29 - Cash Flow Disclosures - Cash Flow Disclosures (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of Cash Flow [Abstract]      
Inventories [1] $ (1,329,865) $ (1,085,024) $ 818,913
Receivables and prepayments and current tax assets [1] (155,449) (79,912) 67,610
Trade receivables [1] (1,208,278) (356,069) 414,826
Other liabilities [1] 57,389 4,892 (36,000)
Customer advances [1] 151,066 44,661 (29,253)
Trade payables [1] 353,892 399,988 (180,807)
Increase (decrease) in working capital [1],[2] (2,131,245) (1,071,464) 1,055,289
Income tax accruals less payments      
Tax accrued 617,236 189,448 23,150
Taxes paid (359,585) (153,846) (140,364)
Adjustments for income tax expense 257,651 35,602 (117,214)
Interest accruals less payments, net      
Interest accrued (34,080) (14,371) 8,627
Interest received 68,335 24,567 19,613
Interest paid (32,775) (21,559) (28,778)
Interest income (expense) $ 1,480 $ (11,363) $ (538)
[1] Changes in working capital do not include non-cash movements due to the variations in the exchange rates used by subsidiaries with functional currencies different from the U.S. dollar.
[2] Changes in working capital do not include non-cash movements due to the variations in the exchange rates used by subsidiaries with functional currencies different from the U.S. dollar for an amount of $4.2 million for 2022, $25.6 million for 2021 and $3.8 million for 2020.