v3.26.1
Equity (Tables)
12 Months Ended
Dec. 31, 2025
Equity [Abstract]  
Schedule of Share Capital On December 31, 2025, the Company’s share capital consisted of 814,216,001 class A common shares and 294,842,184 class B common shares (2,218,116,370 common shares on December 31, 2024), totaling US$35,114 (US$13,177,841 on December 31, 2024).
   December 31, 2025 
   Quantity   US$ thousand 
Initial balance   1,109,058,185    35,114 
Final balance   1,109,058,185    35,114 
Schedule of Treasury Shares

Treasury share activity were as follows:

 

   December 31, 2025 
   Quantity   US$ thousand 
Balance at the beginning of the period   
    
 
Corporate restructuring   624,500,000    6,544 
Purchase of treasury shares   41,008,292    600,000 
Stock based compensation   (458,984)   (2,157)
Transfer of treasury shares   (590,181,486)   (6,156)
Repurchase of treasury shares   19,669,712    192 
Balance at the end of the period   94,537,534    598,423 
Schedule of Net Sales, Net Income, Cash Provided by Operations, Total Assets and Total Liabilities Below are the PPC total net sales, net income, cash provided by operations, total assets and total liabilities for the years indicated.
   2025   2024   2023 
             
Net Revenue   18,497,553    17,878,291    17,362,217 
Net Income   1,083,344    1,087,200    322,317 
Net cash provided by operating activities   1,371,650    1,990,100    677,877 
                
                
Total assets   10,343,530    10,650,576    9,810,361 
Total liabilities   6,649,799    6,397,180    6,465,784 
Total equity   3,693,731    4,253,396    3,344,577