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Note 20 - Cash and cash equivalents and other investments (Tables)
12 Months Ended
Dec. 31, 2024
Note 20 - Cash and cash equivalents and other investments  
Detailed disclosure of cash and cash equivalents and other investments [text block]

 

Year ended December 31,


 

2024



2023


Cash and cash equivalents




Cash at banks

290,901



370,487


Liquidity funds

355,044



223,424


Short-term investments

29,311



1,043,910


 

675,256



1,637,821


Other investments - current

 



 


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

722,328



896,166


Bonds and other fixed income

1,273,673



834,281


Fund investments

376,998



239,184


 

2,372,999



1,969,631


Other investments - non-current

 



 


Bonds and other fixed income

857,959



398,220


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

140,292



-


Others

7,049



7,411


 

1,005,300



405,631