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FINANCIAL INSTRUMENTS - Liquidity Risk Management (Details) - USD ($)
Dec. 31, 2022
Dec. 31, 2021
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Trade payables $ 90,564,000  
Borrowings 3,860,000  
Lease liabilities 169,467,000  
Other financial liabilities 130,721,000  
Financial liabilities 394,612,000  
Nominal value of contingent consideration 74,024,000 $ 60,233,000
Foreign exchange forward contracts and interest rate SWAP    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Nominal value of contingent consideration 0  
Subscription Agreements    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Nominal value of contingent consideration 22,930,000  
2023    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Trade payables 85,119,000  
Borrowings 2,997,000  
Lease liabilities 48,230,000  
Other financial liabilities 56,379,000  
Financial liabilities 192,725,000  
2024    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Trade payables 4,862,000  
Borrowings 159,000  
Lease liabilities 35,464,000  
Other financial liabilities 46,375,000  
Financial liabilities 86,860,000  
2025    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Trade payables 583,000  
Borrowings 159,000  
Lease liabilities 23,823,000  
Other financial liabilities 14,085,000  
Financial liabilities 38,650,000  
Thereafter    
Disclosure of maturity analysis for financial assets held for managing liquidity risk [line items]    
Trade payables 0  
Borrowings 545,000  
Lease liabilities 61,950,000  
Other financial liabilities 13,882,000  
Financial liabilities $ 76,377,000