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ADDITIONAL INFORMATION TO CASH FLOWS
12 Months Ended
Dec. 31, 2023
Additional Information To Cash Flows  
ADDITIONAL INFORMATION TO CASH FLOWS

 

33.ADDITIONAL INFORMATION TO CASH FLOWS

 

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

 

         
          Consolidated
  12/31/2023   12/31/2022   12/31/2021
Income tax and social contribution paid  1,407,469   3,100,349   3,062,047
Addition to fixed assets with interest capitalization (note 11 and 28) 182,799   135,242     87,414
Remeasurement and addition – Right of use (note 11 i) 197,525   125,946   171,215
Addition to PP&E without adding cash 114,877     60,329     69,788
Capitalization in associate with no cash effect   11,037   367,000    
 Net additional cash 1,913,707   3,788,866   3,390,464