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Shareholders’ equity (Tables)
12 Months Ended
Dec. 31, 2024
Notes and other explanatory information [abstract]  
Schedule of accumulated other comprehensive income
       
  Cumulative translation adjustment Hedge accounting Changes in fair value of financial instruments Total
 At January 01, 2022   (337,340)   1,593   (10,948)   (346,695)
 Translation adjustment on foreign subsidiaries   64,460   -   -   64,460
 Cash flow hedge accounting, net of income tax   -   (331)   -   (331)

Changes in fair value of financial liabilities related to changes in the Company’s own credit risk

  -   -   343   343

Changes in fair value of investments in equity instruments

  -   -   (3,608)   (3,608)
 At December 31, 2022   (272,880)   1,262   (14,213)   (285,831)
 Translation adjustment on foreign subsidiaries   81,413   -   -   81,413
 Cash flow hedge accounting, net of income tax   -   (537)   -   (537)

Changes in fair value of financial liabilities related to changes in the Company’s own credit risk

  -   -   (385)   (385)

Changes in fair value of investments in equity instruments

  -   -   (1,466)   (1,466)
 At December 31, 2023   (191,467)   725   (16,064)   (206,806)
 Translation adjustment on foreign subsidiaries   (184,446)   -   -   (184,446)
 Cash flow hedge accounting, net of income tax   -   109   -   109

Changes in fair value of financial liabilities related to changes in the Company’s own credit risk

  -   -   (1,037)   (1,037)

Changes in fair value of investments in equity instruments

  -   -   (1,256)   (1,256)
 At December 31, 2024   (375,913)   834   (18,357)   (393,436)
 Attributable to NEXA's shareholders           (335,565)
 Attributable to non-controlling interests           (57,871)
Schedule of earnings per share information
         
  2024   2023   2022
 Net (loss) income for the year attributable to NEXA's shareholders   (205,030)     (291,968)     49,695
 Weighted average number of outstanding shares – in thousands   132,439     132,439     132,439
 Earnings (losses) per share - USD   (1.55)     (2.20)     0.38
Schedule of summarized financial information of the non-controlling interests
           
Summarized balance sheet NEXA PERU   Pollarix S.A.
2024 2023   2024 2023
 Current assets   840,727   581,466     21,597   12,283
 Current liabilities   381,329   292,067     8,169   11,734
 Current net assets   459,398   289,399     13,428   549
           
 Non-current assets   1,176,393   1,361,412     53,843   73,312
 Non-current liabilities   422,555   385,208     11,099   9,421
 Non-current net assets   753,838   976,204     42,744   63,891
           
 Net assets   1,213,236   1,265,603     56,172   64,440
           
 Accumulated non-controlling interests   205,102   207,966     42,569   46,747
           
Summarized income statement NEXA PERU   Pollarix S.A.
2024 2023   2024 2023
 Net revenues   881,122   735,337     27,919   11,740
 Net (loss) gain for the year   (41,999)   12,491     28,959   13,700
 Other comprehensive (loss) income   -   -     (14,886)   5,606
 Total comprehensive income for the year   (41,999)   12,491     14,073   19,306
           
 Comprehensive (loss) income attributable to non-controlling interests   (5,229)   (9,206)     15,026   14,261
 Dividends paid to non-controlling interests     5,938   124     14,616   23,589
           
Summarized statement of cash flows NEXA PERU   Pollarix S.A.
2024 2023   2024 2023
 Net cash provided by (used in) operating activities     253,005   206,163     (11,615)   (5,189)
 Net cash used in investing activities   (108,517)   (226,991)     2,130   36,993
 Net cash (used in) provided by financing activities   (23,800)   (3,604)     13,783   (32,185)
 (Decrease) increase in cash and cash equivalents   120,688   (26,145)     4,298   (381)