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Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests - PEN (S/)
S/ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Current assets S/ 2,818,799 S/ 2,791,957  
Non-current assets 3,115,709 3,129,323  
Current liabilities (2,570,517) (2,640,126)  
Non-current liabilities (1,876,702) (1,935,148)  
Net assets    
Net assets attributable to non-controlling interest 224,912 284,502  
Revenues 4,301,475 4,405,124 S/ 4,141,398
Profit (loss) of the year 141,121 (362,054) (101,816)
Other comprehensive income 28,888 (28,661) (5,437)
Total comprehensive income for the year 170,009 (390,715) (107,253)
Profit (loss) of the year, allocated to non-controlling interest 56,522 89,097  
Other comprehensive income, allocated to non-controlling interest 137 (99)  
Cash flows from operating activities 358,768 33,660 194,508
Cash flows from investment activities 143,110 198,172 88,189
Cash flows from financing activities S/ 126,773 S/ (126,463) S/ 50,425
VIVA Negocio Inmobiliario S.A.C. and subsidiaries [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 0.46% 0.46%  
Current assets S/ 402,435 S/ 491,076  
Non-current assets 176,779 181,951  
Current liabilities (131,714) (252,577)  
Non-current liabilities (73,058) (10,852)  
Net assets 374,442 409,598  
Net assets attributable to non-controlling interest 84,500 131,097  
Revenues 220,015 367,276  
Profit (loss) of the year 28,197 82,887  
Other comprehensive income   (7,460)  
Total comprehensive income for the year 28,197 75,427  
Profit (loss) of the year, allocated to non-controlling interest 16,756 51,793  
Other comprehensive income, allocated to non-controlling interest    
Cash flows from operating activities 94,868 61,317  
Cash flows from investment activities (488) (342)  
Cash flows from financing activities (29,947) (59,316)  
Net increase (decrease) in cash and cash equivalents S/ 64,433 S/ 1,659  
Red Vial 5 S.A. [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 33.00% 33.00%  
Current assets S/ 111,478 S/ 101,467  
Non-current assets 253,386 320,589  
Current liabilities (85,037) (71,293)  
Non-current liabilities (135,735) (183,983)  
Net assets 144,092 166,780  
Net assets attributable to non-controlling interest 47,550 55,037  
Revenues 215,733 238,043  
Profit (loss) of the year 43,013 44,119  
Other comprehensive income  
Total comprehensive income for the year 43,013 44,119  
Profit (loss) of the year, allocated to non-controlling interest 14,194 14,559  
Other comprehensive income, allocated to non-controlling interest  
Cash flows from operating activities 112,538 79,113  
Cash flows from investment activities (4,108) (4,227)  
Cash flows from financing activities (89,096) (78,866)  
Net increase (decrease) in cash and cash equivalents S/ 19,334 S/ (3,980)  
Tren Urbano de Lima S.A. [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 25.00% 25.00%  
Current assets S/ 315,856 S/ 350,447  
Non-current assets 761,280 703,876  
Current liabilities (162,002) (118,709)  
Non-current liabilities (698,229) (699,336)  
Net assets 216,905 236,278  
Net assets attributable to non-controlling interest 54,227 59,070  
Revenues 413,416 388,811  
Profit (loss) of the year 78,627 69,250  
Other comprehensive income  
Total comprehensive income for the year 78,627 69,250  
Profit (loss) of the year, allocated to non-controlling interest 19,657 17,313  
Other comprehensive income, allocated to non-controlling interest  
Cash flows from operating activities 45,779 70,345  
Cash flows from investment activities 6,683 682  
Cash flows from financing activities (90,103) (81,326)  
Net increase (decrease) in cash and cash equivalents S/ (37,641) S/ (10,299)  
Cumbra Ingenieria S.A. and subsidiaries [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 10.59% 10.59%  
Current assets S/ 111,722 S/ 139,450  
Non-current assets 7,205 10,094  
Current liabilities (88,621) (115,556)  
Non-current liabilities (164) (2,359)  
Net assets 30,142 31,629  
Net assets attributable to non-controlling interest 3,025 3,346  
Revenues 205,965 224,216  
Profit (loss) of the year (2,889) (10,038)  
Other comprehensive income (76) (2)  
Total comprehensive income for the year (2,965) (10,040)  
Profit (loss) of the year, allocated to non-controlling interest (315) (1,084)  
Other comprehensive income, allocated to non-controlling interest (8) 2  
Cash flows from operating activities (830) (23,183)  
Cash flows from investment activities 16 (502)  
Cash flows from financing activities 896 (2,865)  
Net increase (decrease) in cash and cash equivalents S/ 82 S/ (26,550)  
Unna Energia S.A. [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 5.00% 5.00%  
Current assets S/ 249,681 S/ 256,777  
Non-current assets 683,041 659,686  
Current liabilities (278,239) (206,111)  
Non-current liabilities (197,691) (260,840)  
Net assets 456,792 449,512  
Net assets attributable to non-controlling interest 31,917 31,541  
Revenues 682,682 633,792  
Profit (loss) of the year 52,792 63,890  
Other comprehensive income  
Total comprehensive income for the year 52,792 63,890  
Profit (loss) of the year, allocated to non-controlling interest 6,554 7,090  
Other comprehensive income, allocated to non-controlling interest  
Cash flows from operating activities 172,424 167,952  
Cash flows from investment activities (173,062) (202,080)  
Cash flows from financing activities (60,197) 19,515  
Net increase (decrease) in cash and cash equivalents S/ (60,835) S/ (14,613)  
Cumbra Peru S.A. and subsidiaries [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 0.47% 0.61%  
Current assets S/ 1,402,600 S/ 1,205,607  
Non-current assets 780,792 813,021  
Current liabilities (1,458,759) (1,530,113)  
Non-current liabilities (138,002) (151,110)  
Net assets 586,631 337,405  
Net assets attributable to non-controlling interest 654 2,283  
Revenues 2,447,501 2,454,982  
Profit (loss) of the year 621 (137,455)  
Other comprehensive income 29,859 (21,626)  
Total comprehensive income for the year 30,480 (159,081)  
Profit (loss) of the year, allocated to non-controlling interest (377) (714)  
Other comprehensive income, allocated to non-controlling interest 145 (101)  
Cash flows from operating activities 117,829 (194,356)  
Cash flows from investment activities 263 5,358  
Cash flows from financing activities 17,000 119,538  
Net increase (decrease) in cash and cash equivalents S/ 135,092 S/ (69,460)  
Promotora Larcomar S.A. [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Percentage of non-controlling interest 53.45% 53.45%  
Current assets S/ 298 S/ 301  
Non-current assets 13,368 13,368  
Current liabilities (52) (86)  
Non-current liabilities (7,739) (7,754)  
Net assets 5,875 5,829  
Net assets attributable to non-controlling interest 3,141 3,116  
Revenues  
Profit (loss) of the year 46  
Other comprehensive income  
Total comprehensive income for the year 46  
Profit (loss) of the year, allocated to non-controlling interest 25 135  
Other comprehensive income, allocated to non-controlling interest  
Cash flows from operating activities 225  
Cash flows from investment activities  
Cash flows from financing activities  
Net increase (decrease) in cash and cash equivalents 225  
Other individually immaterial subsidiaries [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Net assets    
Net assets attributable to non-controlling interest 1,843 (128)  
Other comprehensive income (895) 427  
Profit (loss) of the year, allocated to non-controlling interest (194) (375)  
Other comprehensive income, allocated to non-controlling interest  
Intra-group eliminations [Member]      
Non-Controlling Interest (Details) - Schedule of Corporation´s Subsidiaries that has Material Non-Controlling Interests [Line Items]      
Net assets    
Net assets attributable to non-controlling interest (1,945) (860)  
Other comprehensive income  
Profit (loss) of the year, allocated to non-controlling interest 222 380  
Other comprehensive income, allocated to non-controlling interest