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41. Condensed Unconsolidated Financial Information of Companhia Paranaense de Energia - Copel (Details 3) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
StatementsOfCashFlowsLineItems [Line Items]      
NET CASH GENERATED IN OPERATING ACTIVITIES R$ 1,770,971 R$ 989,206 R$ 1,476,818
CASH FLOWS FROM INVESTMENT ACTIVITIES      
Financial investments (75,804) 48,512 13,664
Loans and financing granted to related parties 0 (5,145) (9,422)
Receipt of loans and financing granted to related parties 117,645 24,985 5,112
Disposal of investments 0 484,608 0
Additions in investments (51,557) (248,243) (505,098)
Capital reduction of investees 35,280 0 74,983
Additions to property, plant and equipment (1,489,067) (1,205,508) (1,284,436)
Additions to intangible assets (7,589) (806,240) (928,727)
NET CASH USED IN INVESTING ACTIVITIES (2,149,153) (1,581,173) (2,511,075)
CASH FLOWS FROM FINANCING ACTIVITIES      
Loans and financing obtained from third parties 1,314,766 800,044 93,806
Issue of Debentures 2,890,283 2,242,521 1,822,965
Dividends and interest on own capital paid (300,722) (506,404) (368,956)
NET CASH GENERATED FROM (USED IN) FINANCING ACTIVITIES 1,286,516 649,969 535,603
TOTAL EFFECTS ON CASH AND CASH EQUIVALENTS 908,334 58,002 (498,654)
Cash and cash equivalents at the beginning of the period 1,040,075 982,073 1,480,727
Cash and cash equivalents at the end of the period 1,948,409 1,040,075 982,073
CHANGE IN CASH AND CASH EQUIVALENTS 908,334 58,002 (498,654)
Companhia Paranaense de Energia - Copel      
StatementsOfCashFlowsLineItems [Line Items]      
NET CASH GENERATED IN OPERATING ACTIVITIES 653,230 440,406 1,905,189
CASH FLOWS FROM INVESTMENT ACTIVITIES      
Financial investments (124,254) 24 23
Loans and financing granted to related parties (192,445) (251,856) (87,272)
Receipt of loans and financing granted to related parties 560,877 124,122 5,112
Disposal of investments 0 397,572 0
Additions in investments (608,934) (574,347) (1,489,563)
Capital reduction of investees 45,000 170,000 0
Additions to property, plant and equipment (267) (282) (224)
Additions to intangible assets (3) (499) (122)
NET CASH USED IN INVESTING ACTIVITIES (320,026) (135,266) (1,572,046)
CASH FLOWS FROM FINANCING ACTIVITIES      
Loans and financing obtained from third parties 0 77,000 0
Issue of Debentures 600,000 520,000 0
Amortization of principal - loans and financing (77,000) (83,000) (6,000)
Amortization of principal - debentures (333,300) (333,300) 0
Dividends and interest on own capital paid (264,734) (475,103) (306,700)
NET CASH GENERATED FROM (USED IN) FINANCING ACTIVITIES (75,034) (294,403) (312,700)
TOTAL EFFECTS ON CASH AND CASH EQUIVALENTS 258,170 10,737 20,443
Cash and cash equivalents at the beginning of the period 56,833 46,096 25,653
Cash and cash equivalents at the end of the period 315,003 56,833 46,096
CHANGE IN CASH AND CASH EQUIVALENTS R$ 258,170 R$ 10,737 R$ 20,443