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Financial instruments (Tables)
12 Months Ended
Dec. 31, 2024
Notes and other explanatory information [abstract]  
Schedule of financial instruments breakdown by category
               
                2024
   Note   Amortized cost   Fair value through profit or loss   Fair value through Other comprehensive income Total
 Assets per balance sheet                
 Cash and cash equivalents 15   620,537   -   - 620,537
 Financial investments     19,693   -   - 19,693
 Other financial instruments 16 (a)   -   5,282   - 5,282
 Trade accounts receivables (iii) 17   39,008   101,785   - 140,793
 Investments in equity instruments 14 (c)   -   -   5,093 5,093
 Related parties (i) 20 (a)   2   -   - 2
      679,240   107,067   5,093 791,400
 Liabilities per balance sheet                
 Loans and financings 24 (a)   1,670,313   92,320   - 1,762,633
 Lease liabilities 23 (b)   95,899   -   - 95,899
 Other financial instruments 16 (a)   -   37,134   - 37,134
 Trade payables   25   443,288   -   - 443,288
 Confirming payables 26   268,175   -   - 268,175
 Use of public assets (ii)     18,047   -   - 18,047
 Related parties (ii) 20 (a)   4,204   -   - 4,204
      2,499,926   129,454   - 2,629,380
                 

 

                2023
   Note    Amortized cost    Fair value through profit or loss    Fair value through Other comprehensive income  Total  
 Assets per balance sheet                
 Cash and cash equivalents 15     457,259     -     -   457,259
  Financial investments       11,058     -     -   11,058
 Other financial instruments 16 (a)     -     7,893     -   7,893
 Trade accounts receivables 17     53,328     88,582     -   141,910
 Investments in equity instruments 14 (c)     -     -     5,649   5,649
 Related parties (i) 20 (a)     3     -     -   3
        521,648     96,475     5,649   623,772
 Liabilities per balance sheet                
 Loans and financings 24 (a)     1,634,163     91,403     -   1,725,566
 Lease liabilities 23 (b)     77,405     -     -   77,405
 Other financial instruments 16 (a)     -     46,122     -   46,122
 Trade payables 25     451,603     -     -   451,603
 Confirming payables 26     234,385     -     -   234,385
 Use of public assets (ii)       22,733     -     -   22,733
 Related parties (ii) 20 (a)     3,935     -     - 3,935
      2,424,224     137,525     -   2,561,749

(i) Classified as “Other assets” in the consolidated balance sheet.

(ii) Classified as “Other liabilities” in the consolidated balance sheet.

(iii) Fair value through profit or loss amounts, relates mainly to amounts included in a forfaiting program and sales that are subsequently adjusted to changes in LME prices.