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Derivative financial Instruments - Schedule of Carrying Amounts of Derivative Instruments (Details) - Cash flow hedges - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 1,205,427 1,303,388
Carrying amount of the hedging instruments, Asset $ 11,510 $ 107,821
Carrying amount of the hedging instruments, Liability (125,842) (25,533)
Change in fair value used for calculating hedge ineffectiveness (162,541) 65,005
Changes in the fair value of the hedging instrument recognised in OCI (163,160) 65,286
Ineffectiveness recognised in profit or loss (619) 281
Amount reclassified from the hedge reserve to profit or loss 123 483
Carrying amount of hedged items, Asset 19,964 0
Carrying amount of hedged items , liabilities (1,087,247) (1,398,323)
Changes in the fair value 
of the hedged items used 
to calculate the hedge ineffectiveness 162,541 (65,005)
Cash flow hedge reserve (858) (7,458)
Interest rate and foreign exchange risk    
Disclosure of detailed information about hedging instruments [line items]    
Carrying amount of the hedging instruments, Asset 11,510 107,821
Carrying amount of the hedging instruments, Liability $ (125,842) $ (25,533)
Interest rate and foreign exchange risk | Loans    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 19,509  
Carrying amount of the hedging instruments, Asset $ 1,372  
Carrying amount of the hedging instruments, Liability 0  
Change in fair value used for calculating hedge ineffectiveness 1,256  
Changes in the fair value of the hedging instrument recognised in OCI 1,258  
Ineffectiveness recognised in profit or loss 2  
Amount reclassified from the hedge reserve to profit or loss 24  
Carrying amount of hedged items, Asset 19,964  
Carrying amount of hedged items , liabilities 0  
Changes in the fair value 
of the hedged items used 
to calculate the hedge ineffectiveness (1,256)  
Cash flow hedge reserve $ 37  
Interest rate and foreign exchange risk | Borrowings and debt    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 1,185,918 1,303,388
Carrying amount of the hedging instruments, Asset $ 10,138 $ 107,821
Carrying amount of the hedging instruments, Liability (125,842) (25,533)
Change in fair value used for calculating hedge ineffectiveness (163,797) 65,005
Changes in the fair value of the hedging instrument recognised in OCI (164,418) 65,286
Ineffectiveness recognised in profit or loss (621) 281
Amount reclassified from the hedge reserve to profit or loss 99 682
Carrying amount of hedged items, Asset 0 0
Carrying amount of hedged items , liabilities (1,087,247) (1,398,323)
Changes in the fair value 
of the hedged items used 
to calculate the hedge ineffectiveness 163,797 (65,005)
Cash flow hedge reserve $ (895) $ (7,458)
Foreign exchange risk | Borrowings and debt    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   0
Carrying amount of the hedging instruments, Asset   $ 0
Carrying amount of the hedging instruments, Liability   0
Change in fair value used for calculating hedge ineffectiveness   0
Changes in the fair value of the hedging instrument recognised in OCI   0
Ineffectiveness recognised in profit or loss   0
Amount reclassified from the hedge reserve to profit or loss   $ 142
Foreign exchange risk | Deposits    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   0
Carrying amount of the hedging instruments, Asset   $ 0
Carrying amount of the hedging instruments, Liability   0
Change in fair value used for calculating hedge ineffectiveness   0
Changes in the fair value of the hedging instrument recognised in OCI   0
Ineffectiveness recognised in profit or loss   0
Amount reclassified from the hedge reserve to profit or loss   $ 57