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Risk management (Details Narrative) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
IfrsStatementLineItems [Line Items]    
Total exposure R$ 3,366,723 R$ 2,785,853
Liabilities related to exchange rate variation of borrowings and financing contracts 574,953 309,854
Income before taxes 336,672 278,586
Effects on profit for the year before taxes R$ 234,384 178,044
Operations contracted description As of April 04, 2024, the Company contracted hedge operations, with no speculative nature, through swap transactions of debt variations denominated in US$ + 6.23% and Yen + 1.44% interest per year for a percentage of CDI + 0.13% p.a. The total value of the hedged debt with the aforementioned operations was 98.0%.  
Hedge operations description The Company entered into hedge operations, effective from December 12, 2024, with no speculative nature, through swap transactions denominated in US$ and Yen + annual interest, as shown in Note 18, for a percentage of CDI - 0.36% p.a. The total value of the debt hedged with the aforementioned operations was 100.0%.  
Financial instrument assets receivables from related parties R$ 1,228,389 1,196,545
Reimbursement of additional retirement and pension plan 1,105,299 1,076,174
Banco BV [Member]    
IfrsStatementLineItems [Line Items]    
Current accounts and investment funds 298 322,241
Banco Santander [Member]    
IfrsStatementLineItems [Line Items]    
Current accounts and investment funds R$ 1,195,511 R$ 1,680