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Basis of Preparation (Details) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
STATEMENTS OF INCOME      
NET OPERATING REVENUE R$ 22,651,036 R$ 21,479,468 R$ 20,535,341
Gross profit 4,891,244 4,898,040 4,929,757
Other operational income (expenses) (145,727) (280,460) (739,635)
Profit (loss) before tax 2,907,234 2,489,724 942,888
Profit (loss) from operating activities (826,996) (1,203,326) (1,980,985)
Statement of comprehensive income [abstract]      
Total comprehensive income 3,038,932 2,072,843 1,359,308
STATEMENTS OF CASH FLOWS      
Cash flows from (used in) operating activities 3,393,536 3,518,476 3,902,649
Income taxes paid (refund), classified as operating activities 219,219 294,676 124,381
Cash flow from investment activities (5,739,414) (3,135,091) (2,774,996)
Net cash used in financing activities R$ 803,856 R$ 2,696,572 R$ (1,922,041)