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Consolidated Statement of Cash Flow - Movements in the borrowings, lease liabilities and payables to related parties (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Consolidated Statement of Cash Flow [Line Items]      
Balances at beginning of period $ 694,836 $ 806,933 $ 450,662
Proceeds from borrowings 0 172,174 350,000
Debt issuance costs paid 0 (2,019) (7,507)
Acquisitions (Note 36.1)     17,851
Addition to lease liabilities 22,462 5,288 561
Accrual of borrowing's interests 36,360 44,323 48,232
Exchange difference (6,426) (946) 466
Foreign currency translation 487 (726) (4,030)
Unwinding of discount 2,838 1,453 1,247
Principal paid (172,522) (274,934) (3,575)
Interest paid (36,514) (42,592) (37,594)
Borrowings cancellation costs 5,141 6,308 0
Borrowings cancellation and other costs paid (9,118) (12,908) 0
Lease payments (7,851) (7,518) (9,380)
Balances at end of period 529,693 694,836 806,933
Borrowing [Member]      
Consolidated Statement of Cash Flow [Line Items]      
Balances at beginning of period 674,092 784,586 437,419
Proceeds from borrowings   172,174 350,000
Debt issuance costs paid   (2,019) (7,507)
Accrual of borrowing's interests 36,360 44,323 48,232
Exchange difference   (581)  
Foreign currency translation 203 (265) (2,389)
Principal paid (172,522) (274,934) (3,575)
Interest paid (36,514) (42,592) (37,594)
Borrowings cancellation costs 5,141 6,308  
Borrowings cancellation and other costs paid (9,118) (12,908)  
Balances at end of period 497,642 674,092 784,586
Lease liabilities [member]      
Consolidated Statement of Cash Flow [Line Items]      
Balances at beginning of period 20,744 22,347 13,243
Acquisitions (Note 36.1)     17,851
Addition to lease liabilities 22,462 5,288 561
Exchange difference (6,426) (365) 466
Foreign currency translation 284 (461) (1,641)
Unwinding of discount 2,838 1,453 1,247
Lease payments (7,851) (7,518) (9,380)
Balances at end of period $ 32,051 $ 20,744 $ 22,347