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FAIR VALUE MEASUREMENT (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
FAIR VALUE MEASUREMENT    
Transfers of financial assets from level 1 to 2 $ 0  
Transfers of financial assets from level 2 to 1 0  
Transfers of financial assets into 3 0  
Transfers of financial assets from 3 0  
Transfers of financial liabilities from level 1 to 2 0  
Transfers of financial liabilities from level 2 to 1 0  
Transfers of financial liabilities into 3 0  
Transfers of financial liabilities from 3 0  
Long term debt    
FAIR VALUE MEASUREMENT    
Total financial liabilities 1,824,300 $ 1,878,900
Fair value measurement at Recurring basis    
FAIR VALUE MEASUREMENT    
Total financial assets 422,486 113,210
Total financial liabilities 904  
Fair value measurement at Recurring basis | Fair value of derivative financial instruments    
FAIR VALUE MEASUREMENT    
Total financial liabilities 904  
Fair value measurement at Recurring basis | Trade receivables    
FAIR VALUE MEASUREMENT    
Total financial assets 11,867 8,320
Fair value measurement at Recurring basis | Equity securities (FVTOCI)    
FAIR VALUE MEASUREMENT    
Total financial assets 282,356 86,252
Fair value measurement at Recurring basis | Other securities (FVTPL)    
FAIR VALUE MEASUREMENT    
Total financial assets   9,119
Fair value measurement at Recurring basis | Fair value of derivative financial instruments    
FAIR VALUE MEASUREMENT    
Total financial assets 128,263 9,519
Fair value measurement at Recurring basis | Level 1    
FAIR VALUE MEASUREMENT    
Total financial assets 255,316 79,086
Fair value measurement at Recurring basis | Level 1 | Equity securities (FVTOCI)    
FAIR VALUE MEASUREMENT    
Total financial assets 255,316 69,967
Fair value measurement at Recurring basis | Level 1 | Other securities (FVTPL)    
FAIR VALUE MEASUREMENT    
Total financial assets   9,119
Fair value measurement at Recurring basis | Level 2    
FAIR VALUE MEASUREMENT    
Total financial assets 167,170 34,124
Total financial liabilities 904  
Fair value measurement at Recurring basis | Level 2 | Fair value of derivative financial instruments    
FAIR VALUE MEASUREMENT    
Total financial liabilities 904  
Fair value measurement at Recurring basis | Level 2 | Trade receivables    
FAIR VALUE MEASUREMENT    
Total financial assets 11,867 8,320
Fair value measurement at Recurring basis | Level 2 | Equity securities (FVTOCI)    
FAIR VALUE MEASUREMENT    
Total financial assets 27,040 16,285
Fair value measurement at Recurring basis | Level 2 | Fair value of derivative financial instruments    
FAIR VALUE MEASUREMENT    
Total financial assets $ 128,263 $ 9,519