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Long Term Debts (Tables)
12 Months Ended
Dec. 31, 2024
Long Term Debts [Abstract]  
Schedule of Long Term Liabilities Long term liabilities to banks and others are comprised of the following as of the below dates:
   Linkage  Interest  December 31, 
   basis  rate  2023   2024 
      %        
Loans from banks denominated in New Israeli Shekels (NIS)  NIS  Prime + 0.25 - 0.95  $29,010   $22,158 
Long-term loans from banks denominated in U.S. Dollars (USD)  USD  SOFR + 2.1 - 3.38   47,634    35,410 
Other long-term debts  JPY  1.71   58    53 
         $76,701   $57,621 
                 
Less current maturities         (24,435)   (21,514)
                 
         $52,267   $36,107 
Schedule of Maturity Dates Maturity dates:
   December 31, 
   2023   2024 
First year (Current maturities including accrued interests)  $24,435   $21,514 
Second year   18,731    16,510 
Third year   14,617    15,743 
Fourth year   15,037    3,854 
Fifth year and thereafter   3,881    
-
 
Total  $76,701   $57,621