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29 ADDITIONAL INFORMATION TO CASH FLOWS
12 Months Ended
Dec. 31, 2019
Additional Information To Cash Flows [Abstract]  
ADDITIONAL INFORMATION TO CASH FLOWS

29    ADDITIONAL INFORMATION TO CASH FLOWS

 

The following table provides additional information on transactions related to the statement of cash flows: 

 

  Consolidated
  12/31/2019   12/31/2018 12/31/2017
Income tax and social contribution paid (1) 1,167,419   336,962   268,847
Addition to PP&E with interest capitalization (note 10 and 25) 117,189   71,611   91,957
Initial adoption IFRS 16 – Right of use (note 9a) 640,989        
Remeasurement – Right of use (note 9a) (151,558)        
Acquisition of fixed assets through a loan, net of taxes (2) 78,098   10,792   4,265
Acquisition of fixed assets by auction 200,115        
Non-monetary transaction with joint venture         20,264
  2,052,252   419,365   385,333

 

(1) For calendar year 2019, the Company opted for taxation based on the quarterly actual profit, according art. 9,430/96, with  income tax and social contribution due being paid in a single installment, until the last business day of the month following the end of each quarter. 

(2) In 2019, fixed assets were acquired through a loan in the amount of R$100,661, net of recoverable taxes of R$22,563.