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Consolidated Statement of Comprehensive Income - BRL (R$)
R$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Profit or loss [abstract]      
Net income / (loss) R$ 42,128 R$ 33,877 R$ 30,242
Financial assets at fair value through other comprehensive income (2,015) 4,681 (3,442)
Change in fair value (7,030) 5,443 (5,659)
Tax effect 2,867 (1,105) 1,373
(Gains) / losses transferred to income statement 3,905 624 1,534
Tax effect (1,757) (281) (690)
Hedge (2,156) 684 (34)
Cash flow hedge (488) 236 65
Change in fair value (941) 457 162
Tax effect 453 (221) (97)
Hedge of net investment in foreign operation (1,668) 448 (99)
Change in fair value (3,207) 848 (148)
Tax effect 1,539 (400) 49
Insurance contracts and private pension 470 (710) 796
Change in discount rate 976 (1,192) 1,349
Tax effect (506) 482 (553)
Remeasurements of liabilities for post-employment benefits (1) (115) (324) (34)
Remeasurements (205) (584) (65)
Tax effect 90 260 31
Foreign exchange variation in foreign investments 8,552 (327) (3,026)
Total other comprehensive income 4,736 4,004 (5,740)
Total comprehensive income 46,864 37,881 24,502
Comprehensive income attributable to the owners of the parent company 45,821 37,109 23,467
Comprehensive income attributable to non-controlling interests R$ 1,043 R$ 772 R$ 1,035