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23. FINANCIAL INSTRUMENTS AND RISK MANAGEMENT (Details 12) - BRL (R$)
R$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost R$ (26,240,096) R$ (19,471,439)
Assets at fair value through other comprehensive income - Equity instruments 42,029 26,678
Assets at fair value through other comprehensive income - Debt instruments   19,285
Assets fair value through profit and loss 329,202 413,788
Assets fair value   (16,746,049)
Liabilities amortized cost (26,240,096)  
Liabilities at fair value through other comprehensive income - Equity instruments 42,029  
Liabilities fair value through profit and loss 5,583,913 1,972,507
Liabilities fair value (20,614,154) (17,452,969)
Loans and financing [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Liabilities amortized cost (22,404,426) [1] (18,620,279)
Liabilities at fair value through other comprehensive income - Equity instruments  
Liabilities at fair value through other comprehensive income - Debt instruments  
Liabilities fair value through profit and loss  
Liabilities fair value (22,404,426) [1] (18,620,279)
Supply chain finance [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Liabilities amortized cost (1,452,637) (842,037)
Liabilities at fair value through other comprehensive income - Equity instruments  
Liabilities at fair value through other comprehensive income - Debt instruments  
Liabilities fair value through profit and loss  
Liabilities fair value (1,452,637) (842,037)
Trade accounts payable [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Liabilities amortized cost (9,009,987) (5,796,766)
Liabilities at fair value through other comprehensive income - Equity instruments  
Liabilities at fair value through other comprehensive income - Debt instruments  
Liabilities fair value through profit and loss  
Liabilities fair value (9,009,987) (5,796,766)
Derivatives not designated [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost  
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss 75,478 53,395
Assets fair value 75,478 53,395
Liabilities amortized cost  
Liabilities at fair value through other comprehensive income - Equity instruments  
Liabilities at fair value through other comprehensive income - Debt instruments  
Liabilities fair value through profit and loss (34,685) (31,369)
Liabilities fair value (34,685) (31,369)
Cash and bank accounts [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost 2,439,072 2,289,787
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss  
Assets fair value 2,439,072 2,289,787
Cash equivalents [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost  
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss 5,137,553 1,947,998
Assets fair value 5,137,553 1,947,998
Marketable securities [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost 287,504 265,783
Assets at fair value through other comprehensive income - Equity instruments 42,029 26,678
Assets at fair value through other comprehensive income - Debt instruments   19,285
Assets fair value through profit and loss 329,202 413,788
Assets fair value 658,735 725,534
Restricted cash [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost 24,358 296,294
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss  
Assets fair value 24,358 296,294
Trade accounts receivables [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost 3,789,616 2,811,902
Assets at fair value through other comprehensive income - Equity instruments  
Assets fair value through profit and loss 310,265 225,941
Assets fair value 3,789,616 3,037,843
Other receivables [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost 86,404 123,877
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss  
Assets fair value 86,404 123,877
Derivatives designated as hedge accounting [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Assets amortized cost  
Assets at fair value through other comprehensive income - Equity instruments  
Assets at fair value through other comprehensive income - Debt instruments  
Assets fair value through profit and loss 302,512 [2] 191,920
Assets fair value 302,512 [2] 191,920
Liabilities amortized cost  
Liabilities at fair value through other comprehensive income - Equity instruments  
Liabilities at fair value through other comprehensive income - Debt instruments  
Liabilities fair value through profit and loss (351,011) [2] (122,246)
Liabilities fair value (351,011) [2] (122,246)
Written option- business combination [member]    
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]    
Liabilities fair value through profit and loss (185,401) (706,920)
Liabilities fair value R$ (185,401) R$ (706,920)
[1] All loans and borrowings are measured at amortized cost. Those designated as hedge accounting have their gains and losses also affecting shareholders' equity.
[2] All derivatives are measured at fair value. Those designated as hedge accounting have their gains and losses also affecting other comprehensive income and inventories.