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III. Financial Risk Management (Details Textual)
$ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Debt to equity ratio (as a ratio) 0.05 0.03  
Reserve of exchange differences on translation $ 71,252 [1],[2]
Total borrowings 728,762 330,933  
Loss on interest rate risk if market interest rates were higher $ 5,300 $ 5,200  
Exposure investment-grade rated instruments (as a percent) 80.00% 77.00%  
Current trade receivables $ 2,493,940 $ 1,299,072 $ 968,148
Liquid financial assets (as a percent) 9.00% 7.00%  
Financial liabilities, fair value as a percentage of carrying value (as a percent) 99.20% 99.60%  
Reserve of cash flow hedges, continuing hedges $ 13,100 $ 1,300  
Minimum maturity period of certificates of deposits 3 months    
CTA foreign exchange risk currency exposure $ 900 200  
Allowance for doubtful accounts - trade receivables [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 45,500 47,100  
Past due [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 544,900 209,600  
Guarantees under credit insurance [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 231,200 175,800  
Letter of credit and other bank guarantees [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 34,700 17,800  
Other guarantees [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables   2,200  
Financial guarantee contracts [member] | Past due [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 28,100 10,600  
Fixed interest rate [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Total borrowings [3] 497,889 $ 187,036  
Current borrowings $ 479,000    
Concentration risk (as a percent) [3] 68.00% 57.00%  
Other currencies hedged to U.S. dollar [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Liquid financial assets, percentage denominated by a specific currency (as a percent) 87.00%    
Level 3 [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Total borrowings  
Current trade receivables  
Level 3 [member] | Venezuelan Companies      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Current trade receivables 48,700    
One percent change, Argentine Peso / U.S. dollar foreign exchange risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Foreign exchange risk, currency exposure 1,300 1,000  
One percent change, Euro / U.S. dollar foreign exchange risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Foreign exchange risk, currency exposure 400 100  
One percent change, Brazilian Real / U.S. dollar foreign exchange risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Foreign exchange risk, currency exposure $ 900 300  
Liquidity risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Maximum maturity period of cash and cash equivalents 3 months    
Liquidity risk [member] | European sovereign counterparties [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Direct exposure to financial instruments issued by European sovereign counterparties $ 5,000 6,000  
Commodity price risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Maximum period of fixed price of commodities for short-term nature 1 year    
One percent change, All foreign exchange exposure vs USD dollar foreign exchange risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Foreign exchange risk, currency exposure $ 4,000 3,100  
One percent change, All foreign exchange exposure vs USD dollar foreign exchange risk [member] | Foreign exchange derivatives contracts [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Foreign exchange risk, currency exposure $ 200 $ 500  
[1] During 2022 as a result of NKKTubes’ definitive cease of operations, the currency translation adjustment reserve belonging to the shareholders was reclassified to the income statement. For more information see note 35 “Other Information - Agreement to terminate NKKTubes joint venture.
[2] Related to NKKTubes’ cease of operations. For more information see note 35 “Other Relevant Information  Agreement to terminate NKKTubes joint venture.
[3] Out of the $497.9 million fixed rate borrowings, $479 million are short-term.