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Condensed individual financial information of Companhia Paranaense de Energia - Copel (Details 3) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flow from investing activities      
Additions in investments   R$ 10,780 R$ 4,829 R$ 30,970
Additions to intangible 13,388 8,319 4,546
   Net cash used in investing activities from continuing operations  (3,099,567) (2,216,994) (2,383,321)
Net cash generated by investment activities from discontinued operations (35,524) (558,002) 2,415,229
 NET CASH USED FROM INVESTING ACTIVITIES (3,135,091) (2,774,996) 31,908
Cash flow from financing activities      
Net cash used in financing activities 2,696,572 (1,922,041) (2,884,427)
Cash and cash equivalents at the beginning of the period 2,678,457 3,472,845  
Cash and cash equivalents at the end of the period 5,634,623 2,678,457 3,472,845
Consolidated One [Member]      
IfrsStatementLineItems [Line Items]      
Net cash generated from operating activities 811,605 3,079,427 2,892,312
Cash flow from investing activities      
Financial investments  (6,109) (5,636) 2,399
Loans and financing granted to related parties   (236,024) (146,063)
Receipt of loans and financing granted to related parties   282,087 100,000 33,899
Additions in investments   (61,950) (4,829) (503,202)
Capital reduction of investees. 82,330
Additions to property, plant and equipment  (1,659) (4,436) (1,847)
Additions to intangible (1,742) (1,592) (1,771)
   Net cash used in investing activities from continuing operations  (25,397) (62,556) (388,192)
Net cash generated by investment activities from discontinued operations (35,000) 2,506,837
 NET CASH USED FROM INVESTING ACTIVITIES (60,397) (62,556) 2,118,645
Cash flow from financing activities      
Amortization of principal - loans and financing   (774,899)
Amortization of principal - debentures (500,000) (300,000)
Amortization of principal - Lease liabilities (512) (378) (317)
Amortization of principal of related parties liabilities (280,000)
Dividends and interest on capital paid (750,371) (2,167,769) (3,847,288)
Net cash used in financing activities (750,883) (3,443,046) (4,427,605)
Total effects on cash and cash equivalents 325 (426,175) 583,352
Cash and cash equivalents at the beginning of the period 199,877 626,052 42,700
Cash and cash equivalents at the end of the period 2,231,413 199,877 626,052
Change in cash and cash equivalents R$ 2,031,536 R$ (426,175) R$ 583,352