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FINANCIAL INSTRUMENTS - Changes in liabilities from Cash Flow from financing activities (Details) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Related parties, net      
Changes in liabilities from Cash flow from financing activities      
Beginning of year R$ 21,970 R$ (111,499) R$ (95,445)
Cash transactions      
Proceeds/(Repayment) from financing activities 2,721 139,556 (7,777)
Non cash transactions      
Interest expense on loans and Interest on loans with related parties 199 (6,089) (8,277)
Exchange variation and others   2  
End of year 24,890 21,970 (111,499)
Leasing payable      
Changes in liabilities from Cash flow from financing activities      
Beginning of year 918,365 856,474 804,269
Cash transactions      
Proceeds/(Repayment) from financing activities (310,226) (275,944) (247,914)
Interest paid on loans and financing (88,370) (68,699) (61,727)
Non cash transactions      
Interest expense on loans and Interest on loans with related parties 88,370 68,699 61,727
Exchange variation and others 422,504 337,835 300,119
End of year 1,030,643 918,365 856,474
Debt, Debentures and Losses/Gains on financial instruments, net - Derivative instruments      
Changes in liabilities from Cash flow from financing activities      
Beginning of year 14,036,447 17,516,322 16,047,021
Cash transactions      
Proceeds/(Repayment) from financing activities (937,815) (4,506,918) (1,963,283)
Interest paid on loans and financing (968,851) (1,100,826) (1,079,981)
Non cash transactions      
Interest expense on loans and Interest on loans with related parties 964,607 1,059,841 1,022,460
Exchange variation and others (471,214) 1,068,028 3,490,105
End of year R$ 12,623,174 R$ 14,036,447 R$ 17,516,322