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Determination Of Fair Value - Summary Of Fair Value Measurement Of Assets And Liabilities (Detail) - BRL (R$)
R$ in Thousands
Mar. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Financial assets at Fair value through profit or loss      
Securities R$ 25,091,723 R$ 22,443,392 R$ 6,290,971
Derivative financial instruments 8,514,793 4,085,004 1,692,031
Fair value through other comprehensive income      
Securities 4,896,387 2,616,118 695,778
Evaluated at amortized cost      
Securities 1,267,826 2,266,971 155,292
Securities purchased under agreements to resell 14,916,794 9,490,090 6,570,609
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Loan operations 63,589 386  
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities 1,267,826 2,266,971 155,292
Securities purchased under agreements to resell 14,916,794 9,490,090 6,570,609
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,640,694
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings 644,439 637,484 469,609
Debentures 844,361 835,230 406,538
Accounts payables 265,197 266,813 134,579
Other financial liabilities 31,485 98,631 7,011
Financial liabilities      
Fair value through profit or loss Securities loaned 721,131 2,021,707 1,259,579
Derivative financial instruments 7,526,075 3,229,236 991,399
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,640,694
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings and lease liabilities 644,439 637,484 469,609
Debentures 844,361 835,230 406,538
Accounts payables 265,197 266,813 134,579
Structured operations certificates 150,461 19,474  
Financial assets at fair value, class [member]      
Financial assets at Fair value through profit or loss      
Securities 25,091,723 22,443,392 6,290,971
Derivative financial instruments 8,514,793 4,085,004 1,692,031
Fair value through other comprehensive income      
Securities 4,896,387 2,616,118 695,778
Evaluated at amortized cost      
Securities 1,267,826 3,914,923 153,709
Securities purchased under agreements to resell 14,916,794 9,490,090 6,568,246
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Loan operations 63,589 386  
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities 1,267,826 3,914,923 153,709
Securities purchased under agreements to resell 14,916,794 9,490,090 6,568,246
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,792,316
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings 644,184 633,781 459,487
Debentures 832,810 836,001 406,540
Accounts payables 265,197 266,813 134,579
Other financial liabilities   98,601 7,011
Financial liabilities      
Fair value through profit or loss Securities loaned 721,131 2,021,707 1,259,579
Derivative financial instruments 7,526,075 3,229,236 991,399
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,792,316
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings and lease liabilities 644,184 633,781 459,487
Debentures 832,810 836,001 406,540
Accounts payables 265,197 266,813 134,579
Structured operations certificates 150,461 19,474  
Level 1 of fair value hierarchy [member]      
Financial assets at Fair value through profit or loss      
Securities 22,640,753 20,277,031 5,259,591
Derivative financial instruments 1,215 21,809 6,599
Fair value through other comprehensive income      
Securities 4,896,387 2,616,118 695,778
Financial liabilities      
Fair value through profit or loss Securities loaned 721,131 2,021,707 1,259,579
Level 2 of fair value hierarchy [member]      
Financial assets at Fair value through profit or loss      
Securities 2,450,970 2,166,361 1,031,380
Derivative financial instruments 8,513,577 4,063,195 1,685,432
Evaluated at amortized cost      
Securities 1,267,826 3,914,923 153,709
Securities purchased under agreements to resell 14,916,794 9,490,090 6,568,246
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Loan operations 63,589 386  
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities 1,267,826 3,914,923 153,709
Securities purchased under agreements to resell 14,916,794 9,490,090 6,568,246
Securities trading and intermediation 1,015,785 504,983 898,312
Accounts receivable 424,702 462,029 219,200
Other financial assets 25,472 20,191 60,423
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,792,316
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings 644,184 633,781 459,487
Debentures 832,810 836,001 406,540
Accounts payables 265,197 266,813 134,579
Other financial liabilities   98,601 7,011
Financial liabilities      
Derivative financial instruments 7,526,075 3,229,236 991,399
Evaluated at amortized cost Securities sold under repurchase agreements 21,111,301 15,638,407 6,792,316
Securities trading and intermediation 13,333,539 9,114,546 5,306,628
Borrowings and lease liabilities 644,184 633,781 459,487
Debentures 832,810 836,001 406,540
Accounts payables 265,197 266,813 R$ 134,579
Structured operations certificates R$ 150,461 19,474  
Financial assets at fair value, class [member]      
Financial assets at Fair value through profit or loss      
Securities   22,443,392  
Derivative financial instruments   4,085,004  
Fair value through other comprehensive income      
Securities   R$ 2,616,118