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Assets held for sale and Discontinued operations (Details 3) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Disclosure of assets held for sale and discontinued operations [Line Items]      
Net income R$ 491,571 R$ 191,501 R$ (74,666)
Cash flows from investing activities (5,739,414) (3,135,091) (2,774,996)
Issue of Debentures (3,920,000) (2,900,000) (1,500,000)
Payments of principal - debentures 1,079,912 1,193,910 2,051,481
Amortization of principal of lease liabilities (70,949) (69,293) (57,212)
Dividends and interest on own capital paid    (1,586,565) (750,371) (2,167,769)
Cash flows from financing activities 803,856 2,696,572 (1,922,041)
Consolidated [Member]      
Disclosure of assets held for sale and discontinued operations [Line Items]      
Net income 21,226 191,501 (74,666)
Adjustments to reconcile net income 39,476 (12,547) 306,736
Dividends and interest on equity received 36,868 0 0
Changes in assets and liabilities (57,434) 14,108 (2,709)
Debentures - interest due and paid (25,051) (10,423) 0
Loan charges granted to related parties 2,763 0 0
Taxes and charges paid (14,228) (57,165) (51,534)
Cash flows from operational activities 3,620 125,474 177,827
Financial investments (111) (144) 22,967
Receipt of loans granted 49,500 0 0
Additions to contract assets, property, plant and equipment and intangible assets (25,659) (35,380) (580,969)
Receipt for alienation 584,983 0 0
Cash flows from investing activities 608,713 (35,524) (558,002)
Issue of Debentures 0 294,045 0
Issue of loans and financing 59,935 0 0
Payments of principal - debentures (55,313) (18,437) 0
Amortization of principal of lease liabilities (2,338) (3,041) (2,988)
Dividends and interest on own capital paid    (11,940) (195,890) 0
Cash flows from financing activities (9,656) 76,677 (2,988)
Changes in cash and cash equivalents R$ 602,677 R$ 166,627 R$ (383,163)