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BASIS OF PREPARATION AND PRESENTATION OF FINANCIAL STATEMENTS - Correction of classification of Statement of Cash Flows (Details) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
OPERATING ACTIVITIES        
Net cash of operating activities R$ 8,235,338 R$ 5,195,489 R$ 6,965,007  
FINANCING ACTIVITIES        
Net cash provided by (used in) financing activities (6,755,131) 30,072,386 (6,060,508)  
INVESTMENT ACTIVITIES        
Net cash provided by (used in) investment activities 827,038 (24,721,408) (998,447)  
Increase in cash and cash equivalents 2,307,245 10,546,467 (93,948)  
Total effect on Cash Flow 13,046,371 10,739,126 R$ 192,659 R$ 286,607
Adjustments        
OPERATING ACTIVITIES        
Net cash of operating activities (7,620) 395,669    
INVESTMENT ACTIVITIES        
Net cash provided by (used in) investment activities 7,620 (395,669)    
As reported        
OPERATING ACTIVITIES        
Net cash of operating activities 8,242,958 4,799,820    
FINANCING ACTIVITIES        
Net cash provided by (used in) financing activities (6,755,131) 30,072,386    
INVESTMENT ACTIVITIES        
Net cash provided by (used in) investment activities 819,418 (24,325,739)    
Increase in cash and cash equivalents R$ 2,307,245 R$ 10,546,467