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Business combinations and assets held for sale, 2020 (Details)
$ in Thousands
3 Months Ended 12 Months Ended
May 31, 2020
USD ($)
Apr. 03, 2020
USD ($)
Capacity
Mar. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Jan. 29, 2019
USD ($)
Assets and Liabilities Acquisition [Abstract]          
Contracted concessional assets     $ 35,000    
Revenue contributed by the acquisitions     1,400    
Amount of profit after tax     900    
Chile PV 1 [Member] | Renewable Energy [Member]          
Business combinations [Abstract]          
Gross capacity | Capacity   55      
Payment to acquire equity investment   $ 4,000      
Percentage of non-controlling interests   65.00%      
Asset Acquisition [Member]          
Assets and Liabilities Acquisition [Abstract]          
Contracted concessional assets     35,095 $ 170,769  
Other non-current assets       356  
Cash & cash equivalents     2,250 17,646  
Other current assets     728 31,243  
Non-current project debt     (24,380) (149,585)  
Current project debt     (687) (8,680)  
Other current and non-current liabilities     (4,478) (13,831)  
Non-controlling interests     (8,287) (25,308)  
Total net assets acquired at fair value     24,618 22,610  
Asset acquisition - purchase price     (16,680) (22,610)  
Net result of business combinations     $ 0 0  
Revenue contributed by the acquisitions       22,500  
Amount of profit after tax       6,300  
Additional revenue amount       14,700  
Additional amount of loss after tax       $ 3,700  
Befesa Agua Tenes, S.L.U. [Member]          
Business combinations [Abstract]          
Percentage of non-controlling interests 49.00%        
Percentage interest acquired 51.00%        
Total investment $ 19,000        
Assets and Liabilities Acquisition [Abstract]          
Asset acquisition - purchase price         $ (19,900)