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Other Disclosures on Cash Flows - Summary of Other Disclosures on Cash Flows (Detail) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Non-cash operating activities      
Fair value adjustment on accounts receivable from card issuers R$ 22,818 R$ 92,063  
Fair value adjustment on equity instruments 938 (954)  
Non-cash investing activities      
Property and equipment and intangible assets acquired through lease 154,650 4,339  
Non-cash financing activities      
Unpaid consideration for acquisition of non-controlling shares (Note 28) 4,099 5,022 R$ 29,480
Property and equipment, and intangible assets      
Additions of property, plant and equipment (256,144) (92,546)  
Payments from previous year (18,160)    
Purchases not paid at year end 1,050 18,160  
Prepaid purchases of POS (10,767)    
Purchases of property and equipment (333,568) (140,887) (140,982)
Additions of intangible assets (104,687) (49,177) (21,283)
Property and equipment and intangible assets acquired through lease 154,650 4,339  
Capitalization of borrowing costs 793    
Purchases and development of intangible assets (66,381) (44,838) (21,283)
Net book value of disposed assets 15,743 24,133 14,489
Loss on disposal of property and equipment and intangible assets (14,639) (10,712) (5,461)
Proceeds from disposal of property and equipment and intangible assets 1,104 13,421 9,028
IFRS 16 [Member]      
Property and equipment, and intangible assets      
Additions of right of use 76,202    
Additions of right of use 37,513    
Cost [member]      
Property and equipment, and intangible assets      
Additions of property, plant and equipment R$ (381,893) R$ (159,047) R$ (140,982)