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Loans, Debentures, and Finance Leases - Additional Information (Detail)
$ in Millions
1 Months Ended 12 Months Ended
Oct. 06, 2016
BRL (R$)
Dec. 31, 2018
BRL (R$)
May 31, 2018
Mar. 31, 2018
Oct. 31, 2017
Jul. 31, 2017
Apr. 30, 2017
May 31, 2016
Mar. 31, 2015
Jan. 31, 2014
Dec. 31, 2018
BRL (R$)
Dec. 31, 2018
USD ($)
Dec. 24, 2018
USD ($)
Dec. 31, 2017
BRL (R$)
Dec. 31, 2018
USD ($)
Oct. 06, 2016
USD ($)
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,531,000,000   $ 395      
Floating interest rates in dollar change in foreign loan                         104.4% of CDI      
Determination of required maintenance ratio description                     0 0        
Financing guaranteed by collateral                     R$ 69,822,000     R$ 66,337,000    
Amount of guarantees and promissory notes   R$ 10,667,175,000                 10,667,175,000     9,587,971,000    
Collateral guarantees to secure letters of credits   271,162,000                 271,162,000     237,537,000    
Guarantee related to supply Of LPG                     45,000,000          
Supply of row materials without guarantee                           81,046,000    
maximum amount of future payments on collateral gurantee   2,750,000                 2,750,000     8,224,000    
Restricted Assets [member]                                
Summary of loans debentures and finance leases [line items]                                
Restriction on encumbrance of assets   R$ 581,000,000                 R$ 581,000,000       $ 150  
Percent restricted consolidated tangible assets                     15.00% 15.00%        
Ultrapar international sa [member]                                
Summary of loans debentures and finance leases [line items]                                
Interest rate 5.25%                             5.25%
Notes to foreign market R$ 2,906,000,000                             $ 750
Borrowings, maturity date October 2026                              
Issue percent of face value 98.097%                              
Northeast Constitutional Financing Fund [member]                                
Summary of loans debentures and finance leases [line items]                                
Interest rate   10.00%                 10.00%       10.00%  
Discount on interest rate                     15.00% 15.00%        
Oxiteno S.A. and Oxiteno Nordeste [member] | Export Credit Note [member]                                
Summary of loans debentures and finance leases [line items]                                
Floating interest rates in dollar change in foreign loan     101.5% of CDI                          
Long term interest rate [member]                                
Summary of loans debentures and finance leases [line items]                                
Long term interest rate   7.03%                 7.03%       7.03%  
Other contingent liabilities [member]                                
Summary of loans debentures and finance leases [line items]                                
Fair value of collaterals recorded as other payables   R$ 68,000                 R$ 68,000     R$ 205,000    
Foreign loans [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings, maturity date                     June 22, 2020 June 22, 2020        
Borrowings                     R$ 232,000,000 $ 60        
Floating interest rates in dollar change in foreign loan                     105.9% of CDI 105.9% of CDI        
Borrowings, adjustment to interest rate basis   2.00%                 2.00%       2.00%  
Debentures second issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Simple nominative nonconvertible unsecured registered debentures                   80,000            
Debentures fifth issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Simple nominative nonconvertible unsecured registered debentures             660,139   80,000              
Second series simple nominative nonconvertible unsecured registered debentures             352,361                  
Debentures fourth issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Simple nominative nonconvertible unsecured registered debentures               500                
Debentures sixth issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Floating interest rates in dollar change in foreign loan       97.3% of CDI             93.9% of CDI 93.9% of CDI        
Simple nominative nonconvertible unsecured registered debentures       1,725,000   1,500,000                    
Debentures seventh issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Simple nominative nonconvertible unsecured registered debentures         944,077                      
Second series simple nominative nonconvertible unsecured registered debentures         213,693                      
Debentures eighth issue [member] | IPP [member]                                
Summary of loans debentures and finance leases [line items]                                
Simple nominative nonconvertible unsecured registered debentures   660,000                            
Second series simple nominative nonconvertible unsecured registered debentures   240,000                            
Debenture three [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000,000          
Floating interest rates in dollar change in foreign loan                     105.0% of CDI 105.0% of CDI        
Final maturity                     May 25, 2021 May 25, 2021        
Payment of the face value                     Annual as from May 2019 Annual as from May 2019        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Debenture four [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     95% of CDI 95% of CDI        
Final maturity                     April 18, 2022 April 18, 2022        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Amount:   R$ 660,139,000                 R$ 660,139,000          
Debenture five [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     IPCA + 4.68% IPCA + 4.68%        
Final maturity                     April 15, 2024 April 15, 2024        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Annually Annually        
Reprice                     Not applicable Not applicable        
Amount:   352,361,000                 R$ 352,361,000          
Debenture six [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     105.0% of CDI 105.0% of CDI        
Final maturity                     July 28, 2022 July 28, 2022        
Payment of the face value                     Annual as from July 2021 Annual as from July 2021        
Payment of interest                     Annually Annually        
Reprice                     Not applicable Not applicable        
Debenture seven [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     95% of CDI 95% of CDI        
Final maturity                     October 24, 2022 October 24, 2022        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Amount:   730,384,000                 R$ 730,384,000          
Debenture eight [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     IPCA + 4.34% IPCA + 4.34%        
Final maturity                     October 24, 2024 October 24, 2024        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Annually Annually        
Reprice                     Not applicable Not applicable        
Amount:   213,693,000                 R$ 213,693,000          
Debenture twelve [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     IPCA + 4.61% IPCA + 4.61%        
Final maturity                     December 15, 2025 December 15, 2025        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Annually Annually        
Reprice                     Not applicable Not applicable        
Amount:   240,000,000                 R$ 240,000,000          
Debenture eleven [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000,000          
Floating interest rates in dollar change in foreign loan                     97.5% of CDI 97.5% of CDI        
Final maturity                     December 18, 2023 December 18, 2023        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Amount:   R$ 660,000,000                 R$ 660,000,000          
Debenture one [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 10,000,000          
Floating interest rates in dollar change in foreign loan                     107.9% of CDI 107.9% of CDI        
Final maturity                     December 20, 2018 December 20, 2018        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Debenture two [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 10,000,000          
Floating interest rates in dollar change in foreign loan                     108.25% of CDI 108.25% of CDI        
Final maturity                     March 16, 2018 March 16, 2018        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable        
Debenture ten [member]                                
Summary of loans debentures and finance leases [line items]                                
Borrowings                     R$ 1,000.00          
Floating interest rates in dollar change in foreign loan                     105.25% of CDI 105.25% of CDI        
Final maturity                     March 5, 2023 March 5, 2023        
Payment of the face value                     Lump sum at final maturity Lump sum at final maturity        
Payment of interest                     Semiannually Semiannually        
Reprice                     Not applicable Not applicable