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Consolidated Statement of Comprehensive Income - BRL (R$)
R$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Profit or loss [abstract]      
Net income / (loss) R$ 30,737 R$ 28,384 R$ 15,064
Financial assets at fair value through other comprehensive income (3,235) (3,248) 148
Change in fair value (5,325) (7,611) 1,214
Tax effect 1,246 3,320 (457)
(Gains) / losses transferred to income statement 1,534 2,086 (1,107)
Tax effect (690) (1,043) 498
Hedge (34) 699 (3,557)
Cash flow hedge 65 549 499
Change in fair value 162 998 947
Tax effect (97) (449) (448)
Hedge of net investment in foreign operation (99) 150 (4,056)
Change in fair value (148) 194 (7,616)
Tax effect 49 (44) 3,560
Remeasurements of liabilities for post-employment benefits (1) (34) 45 (192)
Remeasurements (65) 74 (349)
Tax effect 31 (29) 157
Foreign exchange variation in foreign investments (3,026) (323) 4,630
Total other comprehensive income (6,329) (2,827) 1,029
Total comprehensive income 24,408 25,557 16,093
Comprehensive income attributable to the owners of the parent company 23,373 23,933 19,925
Comprehensive income attributable to non-controlling interests R$ 1,035 R$ 1,624 R$ (3,832)