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Debt - Summary of Short Term and Long Term Debt (Details) - MXN ($)
$ in Thousands
9 Months Ended
Sep. 30, 2024
Dec. 31, 2023
Schedule of debt [line items]    
Remaining contract period 1 year and for more than one year  
Total debt: $ 1,003,650 $ 1,321,455
Long-term debt 88,273 577,318
Total short term debt 915,377 744,137
Transportation and store equipment pledged as collateral [member]    
Schedule of debt [line items]    
Total debt: 1,003,650 871,739
Long-term debt 88,273 127,602
Total short term debt $ 915,377 744,137
Banco Mercantil del Norte | Transportation equipment    
Schedule of debt [line items]    
Remaining contract period [1] 1  
Total debt: $ 149 149
Banco Mercantil del Norte | Bottom of range | Transportation equipment    
Schedule of debt [line items]    
Effective rate 13.20%  
Banco Mercantil del Norte | Top of range | Transportation equipment    
Schedule of debt [line items]    
Effective rate 14.99%  
Daimler Chrysler Financial Services | Transportation equipment    
Schedule of debt [line items]    
Remaining contract period [1] 1  
Total debt: $ 114,532 111,551
Daimler Chrysler Financial Services | Transportation equipment 1    
Schedule of debt [line items]    
Remaining contract period [1] 3  
Total debt: $ 87,717 127,602
Daimler Chrysler Financial Services | Bottom of range | Transportation equipment    
Schedule of debt [line items]    
Effective rate 12.20%  
Daimler Chrysler Financial Services | Bottom of range | Transportation equipment 1    
Schedule of debt [line items]    
Effective rate 12.30%  
Daimler Chrysler Financial Services | Top of range | Transportation equipment    
Schedule of debt [line items]    
Effective rate 12.90%  
Daimler Chrysler Financial Services | Top of range | Transportation equipment 1    
Schedule of debt [line items]    
Effective rate 12.90%  
NR Finance Mexico, S.A. de C.V. SOFOM E.N.R. | Transportation equipment    
Schedule of debt [line items]    
Effective rate 9.43%  
NR Finance Mexico, S.A. de C.V. SOFOM E.N.R. | Transportation equipment 1    
Schedule of debt [line items]    
Remaining contract period [1] 1  
Total debt: $ 13 13
TOYOTA Financial Services | Transportation equipment    
Schedule of debt [line items]    
Effective rate 11.99%  
TOYOTA Financial Services | Transportation equipment 1    
Schedule of debt [line items]    
Remaining contract period [1] 1  
Total debt:   70
Grupo Financiero HSBC | HSBC credit line    
Schedule of debt [line items]    
Effective rate 3.25%  
Remaining contract period [1] 1  
Total debt: $ 110,000  
Baliequipment Sa D | Cooling equipment    
Schedule of debt [line items]    
Effective rate 12.98%  
Remaining contract period [1] 1  
Total debt:   236
ALD Market Innovation | Cooling equipment    
Schedule of debt [line items]    
Effective rate 10.00%  
Remaining contract period [1] 1  
Total debt: $ 503  
ALD Market Innovation | Cooling equipment 1    
Schedule of debt [line items]    
Effective rate 10.00%  
Remaining contract period [1] 2  
Total debt: $ 556  
Grupo Financiero Santander | Transportation equipment    
Schedule of debt [line items]    
Effective rate 12.99%  
Grupo Financiero Santander | Transportation equipment 1    
Schedule of debt [line items]    
Remaining contract period [1] 1  
Total debt:   123
Grupo Financiero Santander | Santander credit line    
Schedule of debt [line items]    
Effective rate 2.00%  
Remaining contract period [1] 1  
Total debt: $ 130,951 182,145
Supplier Finance Arrangement | HSBC    
Schedule of debt [line items]    
Total debt: 240,458 233,930
Supplier Finance Arrangement | Santander    
Schedule of debt [line items]    
Total debt: $ 318,771 $ 215,920
[1] Relates to the remaining period of the contract. Nevertheless, multiple contracts are included in each row. In addition, the value of the contract for 1 year and for more than one year is included.