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Financial Risk Management - Additional Information (Details)
£ in Millions, kr in Millions
12 Months Ended
Dec. 31, 2021
USD ($)
Dec. 31, 2021
GBP (£)
Dec. 31, 2020
USD ($)
Dec. 31, 2021
SEK (kr)
Apr. 30, 2021
USD ($)
Apr. 30, 2021
SEK (kr)
Dec. 31, 2019
USD ($)
Dec. 31, 2018
USD ($)
Disclosure Of Financial Risk Management [Line Items]                
Currency derivatives   £ 0 $ 20,000,000          
Fair value of currency derivatives     800,000          
Nominal amount of liabilities to credit institutions $ 5,300,000   97,600,000          
Short-term investments 249,937,000              
Impairments loss for outstanding trade receivables $ 0   0          
Description of employees borrowing rate The market rate was set at a rate equivalent to Swedish government borrowing rate (Sw. statslåneräntan) at the date of the loan plus a margin of 1%. The market rate was set at a rate equivalent to Swedish government borrowing rate (Sw. statslåneräntan) at the date of the loan plus a margin of 1%.            
Loans issued to employees     $ 5,100,000          
Maturity period of loans issued to employees     10 years          
Credit loss reserve recognized $ 0   $ 0          
Cash and cash equivalents 295,572,000   105,364,000       $ 10,571,000 $ 20,734,000
Long term financing     88,400,000          
Short-term credit facility     1,197,000          
Undrawn bank overdraft facilities 397,800,000   157,900,000          
SRCF Agreement                
Disclosure Of Financial Risk Management [Line Items]                
Sustainability loan 397,800,000     kr 3,600 $ 397,800,000 kr 3,600    
Option to extend sustainability loan $ 93,900,000     kr 850 $ 93,900,000 kr 850    
Term Loan One                
Disclosure Of Financial Risk Management [Line Items]                
Maturity October 2022 October 2022            
Credit Facility                
Disclosure Of Financial Risk Management [Line Items]                
Shareholder loan $ 146,300,000              
Trade Receivables and Inventories Pledged as Collateral                
Disclosure Of Financial Risk Management [Line Items]                
Short-term credit facility utilized     1,900,000          
Subordinated Bridge Facilities Agreement                
Disclosure Of Financial Risk Management [Line Items]                
Shareholder loan     $ 87,800,000          
Liabilities To Credit Institutions And Available Facilities                
Disclosure Of Financial Risk Management [Line Items]                
Maturity 27.3 months 27.3 months 17 months          
Commodity Price Risk                
Disclosure Of Financial Risk Management [Line Items]                
Percentage of increase in general commodity cost price to effect commodity cost 5.00% 5.00%            
Expected increase in commodity cost due to increase in general commodity cost price $ 10,000,000.0              
Denominated in EUR                
Disclosure Of Financial Risk Management [Line Items]                
Long term financing $ 8,000,000.0              
Credit Institute in United States | Short-term Credit Facility                
Disclosure Of Financial Risk Management [Line Items]                
Short-term credit facility     $ 15,000,000          
Interest rate swap contract [member]                
Disclosure Of Financial Risk Management [Line Items]                
Fair value of currency derivatives     $ 5,700,000          
Bottom of Range                
Disclosure Of Financial Risk Management [Line Items]                
Percentage of exposure to currency risks 50.00% 50.00%            
Top of Range                
Disclosure Of Financial Risk Management [Line Items]                
Percentage of exposure to currency risks 100.00% 100.00%