Discontinued — last reported Q4 '20
An increase in fair value typically indicates favorable movements in hedged variables like exchange rates or interest rates, while a decrease suggests potential losses on hedging positions or adverse market shifts.
This metric represents the net fair value of derivative financial instruments specifically attributable to the company's...
Peers with significant emerging market exposure often report similar derivative fair values to manage local currency volatility, though specific values depend heavily on the company's unique hedging policy and local debt structure.
amt_segment_colombia_derivative_fair_value