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Borrowings
12 Months Ended
Dec. 31, 2024
Disclosure of detailed information about borrowings [abstract]  
Borrowings Borrowings
Annual Interest rate %MaturityDecember 31, 2024December 31, 2023
Banco Citi México
Term SOFR(*)+0.60%
June 20251,666,432 — 
Banco Nacional de México (i)
Term SOFR(*)+0.40%
August 2024— 2,198,619 
Banco Daycoval (ii)
15.66 %September 2024— 803 
Total borrowings1,666,432 2,199,422 
Current1,666,432 2,199,422 
Non-current— — 
(*) Security Overnight Financing Rate (SOFR).
(i)In August 2024, according to the maturity date, the loan agreement was fully settled.
(ii)In September 2024, according to the maturity date, the loan agreement was fully settled.
Some of the obligations above contain financial covenants, which have certain performance conditions. The Group has complied with these covenants throughout the reporting period (Note 37 (ii)).