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Loans and Financing - Additional Information (Detail) - USD ($)
1 Months Ended 12 Months Ended
Jun. 15, 2012
Feb. 28, 2017
Jun. 30, 2015
Oct. 31, 2009
Dec. 31, 2018
Dec. 31, 2017
Disclosure of detailed information about loans and financing [line items]            
Assets pledged and bank guarantees as collateral for loans         $ 339,400,000 $ 441,100,000
U.S. dollar [member]            
Disclosure of detailed information about loans and financing [line items]            
Proportion of loans denominated in foreign currency subject to fixed interest rate         91.60%  
Weighted average interest rate         5.27% 5.18%
Brazilian Real [member]            
Disclosure of detailed information about loans and financing [line items]            
Proportion of loans denominated in foreign currency subject to fixed interest rate         7.90%  
Weighted average interest rate         2.47% 3.72%
Euro [member]            
Disclosure of detailed information about loans and financing [line items]            
Proportion of loans denominated in foreign currency subject to fixed interest rate         0.50%  
Weighted average interest rate           1.32%
Embraer S.A [member]            
Disclosure of detailed information about loans and financing [line items]            
Guaranteed notes issued $ 500,000,000          
Borrowing interest rate 5.15%          
Borrowings, maturity date         June 15, 2022  
Existing Notes [member]            
Disclosure of detailed information about loans and financing [line items]            
Description of exchange of existing bonds         Between August and September 2013, through its subsidiary Embraer Overseas Limited, Embraer S.A. made an offer to exchange existing bonds maturing in 2017 (settled in January 2017) and 2020 for “New Notes” maturing in 2023.  
Aggregate principal amount of notes exchange         $ 146,400,000  
6.375% p.a., due on January 15, 2020 [member]            
Disclosure of detailed information about loans and financing [line items]            
Aggregate principal amount of notes exchange         $ 337,200,000  
Percentage of aggregate principal notes exchange         54.95%  
6.375% p.a., due on January 15, 2020 [member] | Embraer Overseas Ltd. [member]            
Disclosure of detailed information about loans and financing [line items]            
Guaranteed notes issued       $ 500,000    
Borrowing interest rate       6.375%    
5.696%, maturing on September 16, 2023 [member]            
Disclosure of detailed information about loans and financing [line items]            
Guaranteed notes issued         $ 540,500,000  
Borrowing interest rate         5.696%  
Borrowings, maturity date         September 16, 2023  
5.05% p.a., due on June 15, 2025 [member] | Embraer Netherlands Finance BV [member]            
Disclosure of detailed information about loans and financing [line items]            
Guaranteed notes issued     $ 1,000,000,000      
Borrowing interest rate     5.05%      
5.40% p.a., due on February 01, 2027 [member] | Embraer Netherlands Finance BV [member]            
Disclosure of detailed information about loans and financing [line items]            
Guaranteed notes issued   $ 750,000,000        
Borrowing interest rate   5.40%        
Borrowings, maturity date   February 1, 2017