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BUSINESS COMBINATION (Details 13) - C S N Cimentos Brasil S A [Member]
R$ in Thousands
Aug. 31, 2022
BRL (R$)
Carrying amount [member]  
IfrsStatementLineItems [Line Items]  
Cash and cash equivalents R$ 496,445
Trade receivables 141,266
Inventories 272,106
Recoverable taxes  229,940
Deferred taxes 982,547
Other assets  147,565
 Property, plant and equipment  3,185,975
Intangíible assets  7,429
 Total assets acquired  5,463,273
Trade payables 510,522
Lease liabilities 43,978
 Taxes payable  50,527
Salaries and social charges 32,324
 Other payables  139,830
Taxes in installments 148,249
Legal Contingencies 491,114
 Total liabilities assumed  1,416,544
 Net equity acquired  4,046,729
Fair Value Adjustments [Member]  
IfrsStatementLineItems [Line Items]  
 Property, plant and equipment  402,289
Intangíible assets  173,586
 Total assets acquired  575,875
 Net equity acquired  575,875
Total Fair Value [Member]  
IfrsStatementLineItems [Line Items]  
Cash and cash equivalents 496,445
Trade receivables 141,266
Inventories 272,106
Recoverable taxes  229,940
Deferred taxes 982,547
Other assets  147,565
 Property, plant and equipment  3,588,264
Intangíible assets  181,015
 Total assets acquired  6,039,148
Trade payables 510,522
Lease liabilities 43,978
 Taxes payable  50,527
Salaries and social charges 32,324
 Other payables  139,830
Taxes in installments 148,249
Legal Contingencies 491,114
 Total liabilities assumed  1,416,544
 Net equity acquired  R$ 4,622,604