Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Financial Instruments (Details) - Schedule of Financial Instruments

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Financial Instruments (Details) - Schedule of Financial Instruments - MXN ($)
Dec. 31, 2023
Oct. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Jul. 30, 2020
Financial assets -          
Trade account receivables from related parties $ 1,072,455,000   $ 971,063,000 $ 745,593,000  
Financial liabilities -          
Accounts payable to suppliers 1,790,026,000   1,371,778,000 1,984,932,000  
Accounts payable to related parties   $ 222      
Lease liability 117,094,000   85,399,000 6,102,000  
Long term debt and borrowings         $ 195.000
Amortized Cost [Member]          
Financial assets -          
Trade account receivables, net 1,072,455,000   971,063,000 745,593,000  
Trade account receivables from related parties 104,000   61,000 24,000  
Total 1,072,559,000   971,124,000 745,617,000  
Financial liabilities -          
Accounts payable to suppliers 1,790,026,000   1,371,778,000 1,984,932,000  
Accounts payable to related parties     96,859,000    
Lease liability 372,976,000   291,908,000 17,880,000  
Long term debt and borrowings 5,131,422,000   6,148,675,000 1,510,385,000  
Total 7,294,424,000   7,909,220,000 3,513,197,000  
Fair value through profit or loss [Member]          
Financial assets -          
Derivative financial instruments       28,193,000  
Total       28,193,000  
Financial liabilities -          
Derivative financial instruments 47,920,000        
Total $ 47,920,000        
Level 2 [Member]          
Financial assets -          
Derivative financial instruments       $ 2,000  
Financial liabilities -          
Derivative financial instruments     $ 2,000