v3.26.1
Investments in Investee Entities (Details 1) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Disclosure Of Significant Investments In Subsidiaries Line Items      
Balance of non-controlling interests $ 306,797 $ 260,408  
Current assets 1,095,849 707,945  
Non-current assets 7,534,053 4,838,940  
Current liabilities 1,629,205 592,040  
Non-current liabilities 5,005,759 3,513,911  
Revenues 488,596 377,935 $ 255,702
Profit (loss) 160,702 66,505 98,041
Profit attributed to non-controlling interests 28,598 22,296 27,117
Cash flows from operating activities 282,648 255,279 191,599
Cash flows from investing activities (2,180,883) (928,683) (785,575)
Cash flows from financing activities 2,006,479 671,096 800,836
Total change in cash and cash equivalents $ 108,244 $ (2,308) $ 206,860
Co-Op (holding Lukovac and EWK) [Member]      
Disclosure Of Significant Investments In Subsidiaries Line Items      
Rate of ownership rights held by non-controlling interests %   49.90% 49.90%
Balance of non-controlling interests   $ 31,772 $ 35,556
Current assets   13,992 26,611
Non-current assets   210,210 229,483
Current liabilities   19,057 20,632
Non-current liabilities   141,732 170,832
Revenues   49,663 49,211
Profit (loss)   20,328 19,946
Profit attributed to non-controlling interests   6,911 8,304
Cash flows from operating activities   36,062 29,451
Cash flows from investing activities   (3,075) (130)
Cash flows from financing activities   (39,175) (28,064)
Total change in cash and cash equivalents   $ (6,188) $ 1,257
The Iberian Wind (holding Gecama) [Member]      
Disclosure Of Significant Investments In Subsidiaries Line Items      
Rate of ownership rights held by non-controlling interests %   28.01%  
Balance of non-controlling interests   $ 64,259  
Current assets   39,219  
Non-current assets   379,149  
Current liabilities   21,920  
Non-current liabilities   159,978  
Revenues   65,832  
Profit (loss)   26,357  
Profit attributed to non-controlling interests   6,012  
Cash flows from operating activities   41,946  
Cash flows from investing activities   (5,792)  
Cash flows from financing activities   (26,897)  
Total change in cash and cash equivalents   $ 9,257