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FINANCIAL RISK MANAGEMENT ACTIVITIES - Borrowing Rates (Details)
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of maturity analysis of operating lease payments [line items]      
Weighted average incremental borrowing rate at date of initial application (in percent) 5.70% 4.60% 5.40%
USD      
Disclosure of maturity analysis of operating lease payments [line items]      
Interest rate (in percent) 3.10% 2.30% 6.10%
AUD      
Disclosure of maturity analysis of operating lease payments [line items]      
Interest rate (in percent) 4.30% 4.60% 4.70%
BRL      
Disclosure of maturity analysis of operating lease payments [line items]      
Interest rate (in percent) 14.70% 11.00% 8.40%
ZAR      
Disclosure of maturity analysis of operating lease payments [line items]      
Interest rate (in percent) 5.20% 5.90% 9.80%