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Fair value estimates (Tables)
12 Months Ended
Dec. 31, 2024
Fair Value Estimates  
Schedule of by fair value hierarchy
             
              2024
   Note   Level 1   Level 2   Total
 Assets              
 Other financial instruments  16 (a)   -   5,282   5,282
 Trade accounts receivables     -   101,785   101,785
 Investments in equity instruments (i)  14 (c)   5,093   -   5,093
      5,093   107,067   112,160
 Liabilities              
 Other financial instruments  16 (a)   -   37,134   37,134
 Loans and financings designated at fair value (ii)     -   92,320   92,320
      -   129,454   129,454

 

 

              2023
   Note   Level 1   Level 2   Total
 Assets              
 Other financial instruments  16 (a)   -   7,893   7,893
 Trade accounts receivables     -   88,582   88,582
 Investment in equity instruments (i)  14 (c)   5,649   -   5,649
      5,649   96,475   102,124
 Liabilities              
 Other financial instruments  16 (a)   -   46,122   46,122
 Loans and financings designated at fair value (ii)     -   91,403   91,403
      -   137,525   137,525

 

(i) To determine the fair value of the investments in equity instruments, the Company uses the share’s quotation as of the last day of the reporting period.

(ii) Loans and financings are measured at amortized cost, except for certain contracts for which the Company has elected the fair value option.