XML 127 R99.htm IDEA: XBRL DOCUMENT v3.25.4
OTHER RESERVES (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
OTHER RESERVES    
Balance at the beginning of the year $ 20,832,900 $ 19,422,915
Net change in cash flow hedge reserve 1,176 1,176
Balance at the end of the year 24,742,464 20,832,900
Other reserves    
OTHER RESERVES    
Balance at the beginning of the year (41,147) (98,955)
Net change in cash flow hedge reserve 1,176 1,176
Transfer of net gain on disposal of equity securities to retained earnings, net of tax (227,199) (312)
Net change in fair value of equity securities 679,091 56,944
Balance at the end of the year 411,921 (41,147)
Equity securities reserve    
OTHER RESERVES    
Balance at the beginning of the year (35,011) (91,643)
Transfer of net gain on disposal of equity securities to retained earnings, net of tax (227,199) (312)
Net change in fair value of equity securities 679,091 56,944
Balance at the end of the year 416,881 (35,011)
Cash flow hedge reserve    
OTHER RESERVES    
Balance at the beginning of the year (6,136) (7,312)
Net change in cash flow hedge reserve 1,176 1,176
Balance at the end of the year $ (4,960) $ (6,136)