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Financial Risk Management (Details) - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Market risk - cash flow interest rate risk      
Financing and Lease Liabilities R$ 140,563 R$ 160,542 R$ 173,103
Accounts Payable for Business Combination and acquisition of associates R$ 625,277 532,313 R$ 48,055
Interest rate basis CDI    
Private Bonds – 6th Issuance – series 2      
Market risk - cash flow interest rate risk      
Bonds R$ 53,688 104,844  
Private Bonds – 6th Issuance – series 2      
Market risk - cash flow interest rate risk      
Bonds 0 210,920  
Private Bonds – 9th Issuance – series 2      
Market risk - cash flow interest rate risk      
Bonds 259,843 0  
Bonds – 1st Issuance – single      
Market risk - cash flow interest rate risk      
Bonds 529,465 514,574  
Market risk - cash flow interest rate risk      
Market risk - cash flow interest rate risk      
Financing and Lease Liabilities 140,563 160,542  
Accounts Payable for Business Combination and acquisition of associates 625,277 532,313  
Amount under interest rate contract 1,608,836 1,524,081  
Market risk - cash flow interest rate risk | Mind Makers      
Market risk - cash flow interest rate risk      
Bonds R$ 0 R$ 888  
Market risk - cash flow interest rate risk | TJPLP + 5% p.a. | Mind Makers      
Market risk - cash flow interest rate risk      
Interest rate basis TJPLP    
Adjustment to interest rate basis 5.00%    
Market risk - cash flow interest rate risk | IPCA      
Market risk - cash flow interest rate risk      
Interest rate basis IPCA    
Market risk - cash flow interest rate risk | 100% CDI      
Market risk - cash flow interest rate risk      
Interest rate basis CDI    
Percentage of interest rate basis 100.00%    
Market risk - cash flow interest rate risk | Private Bonds – 6th Issuance – series 2 | CDI + 1.00% p.a.      
Market risk - cash flow interest rate risk      
Interest rate basis CDI    
Adjustment to interest rate basis 1.00%    
Market risk - cash flow interest rate risk | Private Bonds – 6th Issuance – series 2 | CDI + 1.70% p.a.      
Market risk - cash flow interest rate risk      
Interest rate basis CDI    
Adjustment to interest rate basis 1.70%    
Market risk - cash flow interest rate risk | Private Bonds – 9th Issuance – series 2 | CDI + 2.40% p.a.      
Market risk - cash flow interest rate risk      
Interest rate basis CDI    
Adjustment to interest rate basis 2.40%    
Market risk - cash flow interest rate risk | Bonds – 1st Issuance – single | CDI + 2.30% p.a.      
Market risk - cash flow interest rate risk      
Interest rate basis CDI    
Adjustment to interest rate basis 2.30%