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Note 30 - Cash flow disclosures - Cash Flow Disclosures (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Changes in working capital      
Inventories $ 184,996 $ 186,903 $ (1,329,865)
Receivables and prepayments, contract assets and current tax assets (60,456) 64,000 (155,449)
Trade receivables 550,334 153,920 (1,208,278)
Other liabilities (100,133) 28,275 57,389
Customer advances (71,100) (101,646) 151,066
Trade payables (216,724) (149,024) 353,892
Increase (decrease) in working capital [1] 286,917 182,428 (2,131,245)
Income tax accruals less payments      
Tax accrued 479,680 674,956 617,236
Taxes paid (702,190) (818,347) (359,585)
Adjustments for income tax expense (222,510) (143,391) 257,651
Interest accruals less payments, net      
Interest accrued, net (181,107) (106,612) (34,080)
Interest received 240,809 147,473 68,335
Interest paid (60,769) (94,341) (32,775)
Interest income (expense) $ (1,067) $ (53,480) $ 1,480
[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 for an amount of $30.3 million for 2024, $(16.7) million for 2023 and $4.2 million for 2022.