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Schedule Of Statements Of Cash Flows From Discontinued Operations (Details) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
OperationsLineItems [Line Items]      
Net income R$ 1,189,557 R$ 75,578 R$ (108,393)
Cash flows from investment activities 31,908 (1,667,571) (1,663,651)
Cash flows from financing activities (2,884,427) (1,715,113) (288,037)
Consolidated Two [Member]      
OperationsLineItems [Line Items]      
Net income 1,189,557 75,578 (108,393)
Adjustments to reconcile net income (803,687) 282,914 419,093
Changes in assets and liabilities (19,255) (16,958) (38,821)
Taxes and charges paid (18,044) (73,050) (51,464)
Cash flows from operational activities 348,571 268,484 220,415
Additions to property, plant and equipment and intangible assets (62,485) (73,573) (175,569)
Disposal Copel Telecom receipt 2,506,837
Cash flows from investment activities 2,444,352 (73,573) (175,569)
Issue of Debentures 210,000
Payment of loans and financing and lease 1,850 20,038 9,260
Cash flows from financing activities (1,850) (20,038) 200,740
Changes in cash and cash equivalents R$ 2,791,073 R$ 174,873 R$ 245,586