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III. FINANCIAL RISK MANAGEMENT (Details Textual)
$ in Thousands
12 Months Ended
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
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) 0.03 0.05  
Reserve of exchange differences on translation [1] $ 878 $ 71,252 [2]
Total borrowings 583,437 728,762  
Loss on interest rate risk if market interest rates were higher $ 6,400 $ 5,300  
Exposure investment-grade rated instruments (as a percent) 91.00% 80.00%  
Current trade receivables $ 2,480,889 $ 2,493,940 $ 1,299,072
Liquid financial assets (as a percent) 19.00% 9.00%  
Financial liabilities, fair value as a percentage of carrying value (as a percent) 99.80% 99.20%  
Reserve of cash flow hedges, continuing hedges $ 8,100 $ 13,100  
Minimum maturity period of certificates of deposits 3 months    
CTA foreign exchange risk currency exposure $ 1,100 $ 900  
Information about major customers No No No
Percentage of entity's revenue 10.00% 10.00% 10.00%
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 $ 49,000 $ 45,500  
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 679,600 544,900  
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 212,700 231,200  
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 48,400 34,700  
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 24,400 28,100  
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] 294,946 $ 497,889  
Current borrowings $ 271,100    
Concentration risk (as a percent) [3] 51.00% 68.00%  
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) 94.00% 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  
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 1,300  
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 $ 2,000 400  
Counterparty risk [member] | Petróleos Mexicanos Member      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Concentration risk (as a percent) 20.00%    
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    
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 $ 6,700 4,000  
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 $ 2,300 $ 200  
Currency risk [member]      
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]      
Percentage of variance 1.00%    
[1] During 2022 as a result of NKKTubes’ definitive cease of operations, the currency translation adjustment reserve belonging to the shareholders was reclassified with impact in the income statement. For more information see note 36 Termination of NKKTubes joint venture.
[2] Related to NKKTubes’ cease of operations. For more information see note 36 “Termination of NKKTubes joint venture”.
[3] Out of the $294.9 million fixed rate borrowings, $271.1 million are short-term.