v3.26.1
FINANCIAL ASSETS (Tables)
12 Months Ended
Dec. 31, 2025
Schedule of cash and cash equivalents
                       
    Amortized Cost              
12/31/2025   Debt Instruments     Carrying Amount     Fair Value  
Current financial assets:     67,483       67,482       67,482  
Trade receivables and other current assets (Note 8)     7,841       7,841       7,841  
Current financial assets     9,659       9,659       9,659  
Cash and cash equivalents     49,983       49,983       49,983  

 

    Amortized Cost              
12/31/2024   Debt Instruments     Carrying Amount     Fair Value  
Current financial assets:     62,923       62,923       62,923  
Trade receivables and other current assets (Note 8)     9,122       9,122       9,122  
Current financial assets     13,494       13,494       13,494  
Cash and cash equivalents     40,307       40,307       40,307