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Consolidated Statements of Comprehensive Income - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Profit or loss [abstract]      
 Net income for the year R$ 13,595,621 R$ 4,292,618 R$ 2,244,511
Items that will not be subsequently reclassified to the statement of income      
 Actuarial (losses)/gains on defined benefit plan from investments in subsidiaries 698 879 424
 Actuarial (losses)/gains on defined benefit pension plan 300,455 132,059 (113,518)
 Total Items that will not be subsequently reclassified to the statement of income 301,153 132,938 (113,094)
Items that could be subsequently reclassified to the statement of income      
 Cumulative translation adjustments for the year (8,097) 581,175 32,922
 (Loss)/gain on change in percentage of investments   6,102 (2,288)
(Loss)/gain on net investment hedge in foreign subsidiaries   (4,824) 2,472
 (Loss)/gain cash flow hedge accounting, net of taxes 795,923 (5,537,174) (604,828)
 Cash flow hedge accounting reclassified to income upon realization, net of taxes 525,290 1,667,886 790,353
 Cash flow hedge accounting - "Platts" reclassified to income upon realization, net of taxes 18,300 186,878  
 (Loss)/gain cash flow hedge accounting – “Platts” (17,755) (187,423)  
 Treasury shares acquired by reflex subsidiary (651,016)    
Total Items that could be subsequently reclassified to the statement of income  662,645 (3,287,380) 218,631
Other comprehensive income 963,798 (3,154,442) 105,537
Comprehensive income for the year 14,559,419 1,138,176 2,350,048
Attributable to:      
 Attributed to owners of the Company 13,364,223 640,052 1,894,503
 Attributed to non-controlling interests 1,195,196 498,124 455,545
 total R$ 14,559,419 R$ 1,138,176 R$ 2,350,048