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ADDITIONAL CASH FLOW INFORMATION (Tables)
12 Months Ended
Dec. 31, 2024
Additional Cash Flow Information  
Schedule of additional information related to 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