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ADDITIONAL CASH FLOW INFORMATION
12 Months Ended
Dec. 31, 2024
Additional Cash Flow Information  
ADDITIONAL CASH FLOW INFORMATION

 

33.ADDITIONAL CASH FLOW INFORMATION

 

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

 

               
                Consolidated
    Ref.   12/31/2024   12/31/2023   12/31/2022
Income tax and social contribution paid         1,319,426    1,407,469   3,100,349
Addition to PP&E with interest capitalization   10 and 28    206,764    182,799   135,242
Remeasurement and addition – Right of use   10.(i)    299,650    197,525   125,946
Addition to PP&E without adding cash        32,128    114,877   60,329
Capitalization in associate without cash effect        118,000    11,037   367,000
 Net additional cash        1,975,968    1,913,707   3,788,866