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Employee benefits (Details 7) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
IfrsStatementLineItems [Line Items]      
Present value of obligations $ 30,766 $ 23,805 $ 20,447
Fair value of plan assets (14,384) (12,559) (10,567)
Net actuarial liability 16,382 11,246  
Balance as of January 1, 2022 (2) 11,246 9,880  
Recognized in the Statement of Income 1,542 1,228  
Current service cost 167 129  
Net interest 1,375 1,099  
Recognized in Equity - other comprehensive income 3,574 1,583  
Remeasurement effects recognized in other comprehensive income 3,574 1,583  
Cash effects (927) (2,130)  
Contributions paid (887) (782)  
Payments related to Term of financial commitment (TFC) (40) (1,348)  
Other changes 947 685  
Others 1 (9)  
Translation Adjustment 946 694  
Balance at December 31, 2022 16,382 11,246  
Pension Plans PPSP-R [member]      
IfrsStatementLineItems [Line Items]      
Present value of obligations 14,941 12,771 11,481
Fair value of plan assets (10,201) (8,881) (7,431)
Net actuarial liability 4,740 3,890  
Balance as of January 1, 2022 (2) 3,890 4,050  
Recognized in the Statement of Income 490 457  
Current service cost 11 10  
Net interest 479 447  
Recognized in Equity - other comprehensive income 433 420  
Remeasurement effects recognized in other comprehensive income 433 420  
Cash effects (385) (1,325)  
Contributions paid (357) (304)  
Payments related to Term of financial commitment (TFC) (28) (1,021)  
Other changes 312 288  
Others  
Translation Adjustment 312 288  
Balance at December 31, 2022 4,740 3,890  
Pension Plans PPSP-NR [member]      
IfrsStatementLineItems [Line Items]      
Present value of obligations 4,806 4,119 3,485
Fair value of plan assets (3,007) (2,739) (2,316)
Net actuarial liability 1,799 1,380  
Balance as of January 1, 2022 (2) 1,380 1,169  
Recognized in the Statement of Income 169 129  
Current service cost 2 1  
Net interest 167 128  
Recognized in Equity - other comprehensive income 253 417  
Remeasurement effects recognized in other comprehensive income 253 417  
Cash effects (115) (421)  
Contributions paid (103) (94)  
Payments related to Term of financial commitment (TFC) (12) (327)  
Other changes 112 86  
Others  
Translation Adjustment 112 86  
Balance at December 31, 2022 1,799 1,380  
Pension Plans Petros 2 [member]      
IfrsStatementLineItems [Line Items]      
Present value of obligations 1,357 1,102 987
Fair value of plan assets (1,176) (939) (822)
Net actuarial liability 181 163  
Balance as of January 1, 2022 (2) 163 165  
Recognized in the Statement of Income 30 33  
Current service cost 10 13  
Net interest 20 20  
Recognized in Equity - other comprehensive income (14) (45)  
Remeasurement effects recognized in other comprehensive income (14) (45)  
Cash effects (12)  
Contributions paid (12)  
Payments related to Term of financial commitment (TFC)  
Other changes 14 10  
Others  
Translation Adjustment 14 10  
Balance at December 31, 2022 181 163  
Health Care Plan Saude Petrobras [Member]      
IfrsStatementLineItems [Line Items]      
Present value of obligations 9,662 5,813 4,485
Fair value of plan assets
Net actuarial liability 9,662 5,813  
Balance as of January 1, 2022 (2) 5,813 4,485  
Recognized in the Statement of Income 853 609  
Current service cost 144 105  
Net interest 709 504  
Recognized in Equity - other comprehensive income 2,902 791  
Remeasurement effects recognized in other comprehensive income 2,902 791  
Cash effects (415) (384)  
Contributions paid (415) (384)  
Payments related to Term of financial commitment (TFC)  
Other changes 509 312  
Others 1 1  
Translation Adjustment 508 311  
Balance at December 31, 2022 9,662 5,813  
Other plans [member]      
IfrsStatementLineItems [Line Items]      
Present value of obligations   9
Fair value of plan assets   $ 2
Balance as of January 1, 2022 (2) 11  
Recognized in the Statement of Income    
Current service cost    
Net interest    
Recognized in Equity - other comprehensive income    
Remeasurement effects recognized in other comprehensive income    
Cash effects    
Contributions paid    
Payments related to Term of financial commitment (TFC)    
Other changes   (11)  
Others   (10)  
Translation Adjustment   (1)  
Balance at December 31, 2022