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Supplemental Cash Flow information
12 Months Ended
Dec. 31, 2018
Text block [abstract]  
Supplemental Cash Flow information
36.

Supplemental Cash Flow information

 

36.1

Payments made during the year and transactions not affecting cash and cash equivalents

 

     12.31.2018     12.31.2017     12.31.2016  

Payments made during the period:

      

Interest

     212.7       186.4       175.0  

Income tax and social contribution

     23.3       28.6       153.9  

Non-cash financing and investing transactions

      

Property, plant and equipment, transfer to pool parts inventory

     (29.5     (21.6     2.5  

Property, plant and equipment, transfer to financial guarantees

     —         —         45.7  

Property, plant and equipment, transfer from intangible assets

     —         —         7.5  

Property, plant and equipment, transfer for providing for the sale of inventory

     (112.7     (100.8     (34.8

Impairment of assets

     (55.2     (58.4     —    

Government grants

     —         (4.3     (51.5