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Risks and Financial Instruments - Summary of the financial assets and financial liabilities measured at fair value (Detail) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 13,007,571 R$ 10,214,435
Financial liabilities, fair value R$ 23,998,204 R$ 19,997,517
Financing [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial liabilities, fair value R$ 1,308,928 R$ 1,666,092
Financing [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial liabilities, fair value R$ 1,308,928 R$ 1,666,092
Financing [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial liabilities, fair value R$ 10,186,947 R$ 7,268,742
Debentures [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial liabilities, fair value R$ 5,363,621 R$ 5,603,669
Debentures 2 [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial liabilities, fair value R$ 1,093,365 R$ 1,030,891
Debentures 2 [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial liabilities, fair value R$ 1,093,365 R$ 1,030,891
Cash and bank [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial assets, fair value R$ 405,081 R$ 284,992
Financial investments in local currency [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through other comprehensive income Measured at fair value through other comprehensive income
Financial assets, fair value R$ 2,241,852 R$ 1,780,939
Financial investments in local currency [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 2,241,852 R$ 1,780,939
Financial investments in foreign currency [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial assets, fair value R$ 14,561 R$ 49,448
Financial investments in foreign currency [member] | Level 1 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 14,561 R$ 49,448
Fixed-income securities and funds in local currency1 [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial assets, fair value R$ 3,643,286 R$ 1,937,967
Fixed-income securities and funds in local currency1 [member] | Level 1 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 3,643,286 R$ 1,937,967
Fixed-income securities and funds in local currency 2 [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through other comprehensive income Measured at fair value through other comprehensive income
Financial assets, fair value R$ 31,315 R$ 595,816
Fixed-income securities and funds in local currency 2 [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 31,315 R$ 595,816
Fixed-income securities and funds in local currency 3 [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial assets, fair value R$ 75,251 R$ 76,904
Fixed-income securities and funds in foreign currency [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through other comprehensive income Measured at fair value through other comprehensive income
Financial assets, fair value R$ 1,278,940 R$ 303,417
Fixed-income securities and funds in foreign currency [member] | Level 1 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value 30,245 18,985
Fixed-income securities and funds in foreign currency [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value 1,248,695 284,432
Currency interest rate hedging instruments [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value R$ 981,874 R$ 682,615
Commodities currency and interest rate hedging instruments [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial assets, fair value R$ 981,874 R$ 682,615
Financial liabilities, fair value 117,159 29,985
Commodities currency and interest rate hedging instruments [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial assets, fair value 981,874 682,615
Financial liabilities, fair value R$ 117,159 R$ 29,985
Trade receivables [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial assets, fair value R$ 3,369,766 R$ 3,663,247
Reseller Financing [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial assets, fair value R$ 965,645 R$ 839,090
Lease Payable [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial liabilities, fair value R$ 1,833,288 R$ 1,588,673
Trade Payable [member]    
Summary of risks and financial instruments [line items]    
Category Measured at amortized cost Measured at amortized cost
Financial liabilities, fair value R$ 4,008,457 R$ 2,678,808
Subscription warrants indemnification [member]    
Summary of risks and financial instruments [line items]    
Category Measured at fair value through profit or loss Measured at fair value through profit or loss
Financial liabilities, fair value R$ 86,439 R$ 130,657
Subscription warrants indemnification [member] | Level 2 [member]    
Summary of risks and financial instruments [line items]    
Financial liabilities, fair value R$ 86,439 R$ 130,657