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Financial assets and liabilities, Other Financing (Details)
12 Months Ended
Dec. 31, 2022
MXN ($)
ExtensionOption
Dec. 31, 2022
USD ($)
Aug. 02, 2022
MXN ($)
Jul. 14, 2022
Feb. 23, 2022
MXN ($)
Jan. 31, 2022
MXN ($)
Dec. 31, 2021
MXN ($)
Dec. 31, 2021
USD ($)
Jun. 19, 2021
MXN ($)
Jan. 31, 2021
MXN ($)
Nov. 26, 2018
MXN ($)
Oct. 11, 2018
MXN ($)
Other Financing [Abstract]                        
Short-term $ 35,030,000           $ 57,106,000          
Long-term 32,475,000           65,601,000          
Debt amount $ 67,505,000           122,707,000          
Basis points 1.00% 1.00%                    
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member]                        
Other Financing [Abstract]                        
Short-term $ 6,946,000           7,076,000          
Long-term 6,720,000           11,103,000          
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member] | Debt Obligation - 1 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 40,900,000                      
Interest rate 12.00% 12.00%                    
Maturity date November 2019                      
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member] | Debt Obligation - 2 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount                       $ 28,000,000
Interest rate                       12.90%
Maturity date October 2021                      
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member] | Debt Obligation - 2 [Member] | Fixed Rate [Member] | Covid-19 [Member]                        
Other Financing [Abstract]                        
Maturity date January 2022                      
Grace period 3 months                      
Number of grace period options | ExtensionOption 2                      
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member] | Debt Obligation - 3 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount                 $ 19,900,000      
Interest rate                 12.90%      
Maturity date June 2024                      
Daimler Financial Services Mexico, S. de R.L. de C.V. [Member] | Debt Obligation - 4 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount     $ 15,400,000                  
Interest rate     13.00%                  
Maturity date December 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member]                        
Other Financing [Abstract]                        
Short-term $ 4,257,000           14,732,000          
Long-term 3,000,000           7,257,000          
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 1 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 25,500,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date September 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 2 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 45,800,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date September 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 3 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 34,600,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date September 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 4 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 21,600,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date September 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 5 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 8,400,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date September 2024                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 6 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount                     $ 20,000,000  
Variable rate basis 28-day TIIE                      
Basis points                     5.50%  
Maturity date November 2023                      
Banco Autofin Mexico, S.A. Institucion de Banca Multiple [Member] | Line of Credit - 6 [Member] | Variable Rate [Member] | Covid-19 [Member]                        
Other Financing [Abstract]                        
Grace period 6 months                      
INPIASA, S.A. de C.V. [Member]                        
Other Financing [Abstract]                        
Short-term $ 403,000           1,044,000          
Long-term 0           0          
INPIASA, S.A. de C.V. [Member] | Line of Credit - 1 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 15,700,000                      
Variable rate basis 28-day TIIE                      
Basis points 4.50% 4.50%                    
Maturity date August 2021                      
INPIASA, S.A. de C.V. [Member] | Line of Credit - 2 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Maturity date December 2024                      
Banco del Bajio, S.A. [Member]                        
Other Financing [Abstract]                        
Short-term $ 0           4,519,000          
Long-term 0           20,715,000          
Banco del Bajio, S.A. [Member] | Line of Credit - 3 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount 12,000,000                      
Mortgage guarantee $ 30,000,000                      
Variable rate basis TIIE 28 days                      
Basis points 6.00% 6.00%                    
Maturity date July 2027                      
Banco del Bajio, S.A. [Member] | Line of Credit - 4 [Member] | Variable Rate [Member]                        
Other Financing [Abstract]                        
Debt amount         $ 18,000,000              
Variable rate basis TIIE 28 days                      
Basis points 6.00% 6.00%                    
Maturity date July 2027                      
Other Investors [Member]                        
Other Financing [Abstract]                        
Short-term $ 12,561,000           17,970,000          
Long-term 0           0          
Other Investors [Member] | Line of Credit - 1 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 6,000,000                      
Interest rate 15.00% 15.00%                    
Maturity date October 2020                      
Other Investors [Member] | Line of Credit - 2 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount                   $ 1,000,000    
Interest rate                   0.25%    
Maturity date October 2023                      
Other Investors [Member] | Line of Credit - 3 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount $ 5,061,000,000                      
Interest rate 15.00% 15.00%                    
Maturity date September 2023                      
Hewlett Packard [Member]                        
Other Financing [Abstract]                        
Short-term $ 137,000 $ 5,258,000         137,000 $ 7,429,000        
Long-term $ 350,000 19,074,000         485,000 18,983,000        
Hewlett Packard [Member] | Line of Credit - 1 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 607,800                    
Interest rate 6.84% 6.84%                    
Maturity date March 2024                      
Hewlett Packard [Member] | Line of Credit - 1 [Member] | Fixed Rate [Member] | Covid-19 [Member]                        
Other Financing [Abstract]                        
Grace period 3 months                      
Hewlett Packard [Member] | Line of Credit - 2 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 201,600                    
Interest rate 6.13% 6.13%                    
Maturity date October 2024                      
Hewlett Packard [Member] | Line of Credit - 2 [Member] | Fixed Rate [Member] | Covid-19 [Member]                        
Other Financing [Abstract]                        
Grace period 3 months                      
Hewlett Packard [Member] | Line of Credit - 3 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 86,600                    
Interest rate 5.96% 5.96%                    
Maturity date March 2025                      
Hewlett Packard [Member] | Line of Credit - 4 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 96,900                    
Interest rate 7.16% 7.16%                    
Maturity date April 2025                      
Hewlett Packard [Member] | Line of Credit - 5 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 252,100                    
Interest rate 4.58% 4.58%                    
Maturity date August 2025                      
Hewlett Packard [Member] | Line of Credit - 6 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 43,300                    
Interest rate 5.14% 5.14%                    
Maturity date December 2025                      
Hewlett Packard [Member] | Line of Credit - 7 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 385,000                    
Interest rate 4.76% 4.76%                    
Maturity date December 2025                      
Hewlett Packard [Member] | Line of Credit - 8 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Interest rate       0.25%                
Term of debt 1 year                      
PNC, Bank, N.A. [Member]                        
Other Financing [Abstract]                        
Short-term   $ 3,294,000           3,529,000        
Long-term   3,331,000           7,058,000        
PNC, Bank, N.A. [Member] | Line of Credit - 1 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount   $ 860,000                    
Interest rate 4.40% 4.40%                    
Maturity date July 2024                      
Payable in Mexican Pesos [Member]                        
Other Financing [Abstract]                        
Short-term $ 26,478,000           46,148,000          
Long-term 10,070,000           39,560,000          
Short-term interest payable 2,174,000           670,000          
Long-term interest payable $ 0           $ 0          
Payable in Mexican Pesos [Member] | Hewlett Packard [Member] | Line of Credit - 1 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Debt amount           $ 622,500            
Interest rate           9.87%            
Maturity date December 2025                      
Payable in Mexican Pesos [Member] | Hewlett Packard [Member] | Line of Credit - 2 [Member] | Fixed Rate [Member]                        
Other Financing [Abstract]                        
Interest rate       11.20%                
Maturity date September 2026                      
Payable in US Dollars [Member]                        
Other Financing [Abstract]                        
Short-term   $ 8,552,000           10,958,000        
Long-term   $ 22,405,000           $ 26,041,000