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Debt and Lease Liabilities - Reconciliation of long-term debt and lease liabilities arising from financing activities (Details)
$ in Thousands, $ in Millions
12 Months Ended
Dec. 31, 2023
MXN ($)
Dec. 31, 2022
MXN ($)
Dec. 31, 2021
MXN ($)
Aug. 31, 2023
USD ($)
Mar. 31, 2023
MXN ($)
Aug. 31, 2022
USD ($)
Mar. 31, 2022
USD ($)
Feb. 28, 2022
USD ($)
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Finance cost $ 8,005,237 $ 11,357,273 $ 12,478,039          
Principal amount of long-term credit agreement 89,814,233     $ 300.0        
Mexican Bank                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Interest payable         $ 400,000      
Revolving credit facility with a syndicate of banks                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Principal amount of long-term credit agreement               $ 650.0
6.625% Senior Notes due 2025                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Principal amount of long-term credit agreement       $ 47.0   $ 133.6 $ 200.0  
Total debt and lease liabilities                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Balance at beginning of the period 114,604,457 136,679,758            
Payments (7,693,583) (18,400,295)            
Discontinued operation   (485,362)            
New Debt and Leases 619,652 590,532            
Net Gain of Prepayment (523,628)              
Foreign Exchange Income (10,349,715) (4,233,647)            
Interest 448,600 453,471            
Balance at end of the period 97,105,783 114,604,457 136,679,758          
Debt                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Balance at beginning of the period 106,235,385 126,999,199            
Payments (5,899,981) (16,709,984)            
Net Gain of Prepayment (523,628)              
Foreign Exchange Income (9,997,543) (4,053,830)            
Balance at end of the period 89,814,233 106,235,385 126,999,199          
Finance Lease Obligations [Member]                
Disclosure of reconciliation of liabilities arising from financing activities [line items]                
Balance at beginning of the period 8,369,072 9,680,559            
Payments (1,793,602) (1,690,311)            
Discontinued operation   (485,362)            
New Debt and Leases 619,652 590,532            
Foreign Exchange Income (352,172) (179,817)            
Interest 448,600 453,471            
Balance at end of the period $ 7,291,550 $ 8,369,072 $ 9,680,559