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Management of financial risks, financial instruments, and other risks (Details 2) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments $ 41,485 $ 101,318
Instruments Eligible As Capital 11,507 12,056
Repurchase Agreements 197,242 3,046
Borrowings And Financing 585,568 $ 147,243
Not later than one month [member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments 152  
Instruments Eligible As Capital (0)  
Repurchase Agreements 197,242  
Deposits In Electronic Money [1] 1,531,753  
Bank Receipt of Deposits RDB 13,589,341  
Payables To Credit Card Network1 3,829,399  
Borrowings And Financing 482  
Other Derivative Financial Liabilities 19,148,369  
Later than one month and not later than three months [member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments 105  
Instruments Eligible As Capital (0)  
Repurchase Agreements (0)  
Deposits In Electronic Money [1] (0)  
Bank Receipt of Deposits RDB 207,839  
Payables To Credit Card Network1 1,741,186  
Borrowings And Financing 17,011  
Other Derivative Financial Liabilities 1,966,141  
Later than three months and not later than one year [member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments 9,056  
Instruments Eligible As Capital (0)  
Repurchase Agreements (0)  
Deposits In Electronic Money [1] (0)  
Bank Receipt of Deposits RDB 336,218  
Payables To Credit Card Network1 1,483,533  
Borrowings And Financing 83,182  
Other Derivative Financial Liabilities 1,911,989  
Later than one year [member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments 112  
Instruments Eligible As Capital 14,742  
Repurchase Agreements (0)  
Deposits In Electronic Money [1] (0)  
Bank Receipt of Deposits RDB 145,100  
Payables To Credit Card Network1 666  
Borrowings And Financing 620,805  
Other Derivative Financial Liabilities 781,425  
Carrying Amount One [Member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments 9,425  
Instruments Eligible As Capital 11,507  
Repurchase Agreements 197,242  
Deposits In Electronic Money [1] 1,534,582  
Bank Receipt of Deposits RDB 14,273,959  
Payables To Credit Card Network1 7,054,783  
Borrowings And Financing 585,568  
Other Derivative Financial Liabilities 23,667,066  
Gross Nominal Outflow [Member]    
IfrsStatementLineItems [Line Items]    
Derivative Financial Instruments [2] 9,425  
Instruments Eligible As Capital [2] 14,742  
Repurchase Agreements [2] 197,242  
Deposits In Electronic Money [1],[2] 1,531,753  
Bank Receipt of Deposits RDB [2] 14,278,498  
Payables To Credit Card Network1 [2] 7,054,784  
Borrowings And Financing [2] 721,480  
Other Derivative Financial Liabilities [2] $ 23,807,923  
[1] In accordance with regulatory requirements, in guarantee of these deposits the Group has pledged reverse repurchase agreements and securities composed of Brazilian government bonds in the total amount of US$2,252,464 to the Brazilian Central Bank as of December 31, 2022 (US$2,271,585 as of December 31, 2021).
[2] The gross nominal outflow was projected considering the exchange rate of Brazilian Reais, and Mexican and Colombian Pesos to US$ as of December 31, 2022 (R$5.2804, MXN19.4999 and COP4,852.50 per US$1) and the projected Brazilian CDI, obtained from B3's website, for the deposits.