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The effects of financial instruments for hedging exchange rate, commodities price and interest rates in the condensed consolidated statement of income (loss) for the period, in Other Comprehensive Income and in the condensed consolidated statement of fina (Details) - BRL (R$)
R$ in Thousands
3 Months Ended 9 Months Ended
Dec. 31, 2021
Sep. 30, 2021
Sep. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Dec. 31, 2020
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   R$ 12,389,985 R$ 9,942,591 R$ 34,618,863 R$ 27,995,582  
Cost of Sales   9,765,303 R$ 7,598,133 27,573,239 21,419,255  
Cost of Sales   (9,765,303)   (27,573,239)    
Interests on loans and borrowings   (361,115)   (1,216,925)    
Effects on Financial Result   (432,690)   (1,433,306)    
Other Comprehensive Income   (556,845)   (961,918) (478,771)  
Other comprehensive income   556,845   961,918 R$ 478,771  
[custom:OtherComprehensiveIncome1]       (424,437)    
[custom:AssetLiabilityNet-0]   136,941   136,941   R$ 7,706
Asset / (Liability) net   (136,941)   (136,941)   (7,706)
Other Comprehensive Income   (1,753,727)   (1,753,727)   (1,298,801)
Inventories   538,512   538,512   442,398
[custom:AccumulatedOtherComprehensiveIncome1-0]   538,512   538,512   442,398
Non Derivative Instruments Non Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income           (1,008,644)
Cash flow hedges [member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Interest Rate Derivatives result   (40,065)   (35,025)    
Cash flow hedges [member] | Derivative Instruments Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (353,300)   (309,739)    
Other comprehensive income   353,300   309,739    
Other Comprehensive Income   (90,490)   (90,490)   219,248
Cash flow hedges [member] | Non Derivative Instruments Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (31,010)   (17,214)    
Other comprehensive income   31,010   17,214    
Cash flow hedges [member] | Non Derivative Instruments Non Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (65,580)   (36,405)    
Other comprehensive income   65,580   36,405    
Other Comprehensive Income   (510,105)   (510,105)   (883,218)
Cash Flow Hedgesand Fair Value [Member] | Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (157,406)   (157,406)   48,499
Asset / (Liability) net   157,406   157,406   (48,499)
Not Designated [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Increase (decrease) through foreign exchange, financial assets   (625,672)   (359,457)    
Foreign Exchange Derivatives result   594,162   178,101    
Not Designated [Member] | Not Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (20,465)   (20,465)   (40,793)
Asset / (Liability) net   20,465   20,465   40,793
Net Investment [Member] | Non Derivative Instruments Non Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (106,955)   (61,079)    
Other comprehensive income   106,955   61,079    
Other Comprehensive Income   (405,753)   (405,753)   (344,674)
Net Sales [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   12,349,193   34,539,353    
Derivatives Result [Member] | Cash flow hedges [member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   40,792   79,510    
Derivatives Result [Member] | Cash Flow Hedgesand Fair Value [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Cost of Sales   (7,983)   (184,594)    
Cost Of Sales One [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Cost of Sales   (9,757,320)   (27,388,645)    
Foreign Exchange One [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   12,389,985   34,618,863    
Effects on Financial Result   (31,510)   (181,356)    
Other Comprehensive Income R$ (387,405)     215,064    
Other comprehensive income R$ 387,405     (215,064)    
[custom:AssetLiabilityNet-0]   46,258   46,258   (151,000)
Asset / (Liability) net   (46,258)   (46,258)   151,000
Other Comprehensive Income   (1,395,013)   (1,395,013)   (1,179,950)
Foreign Exchange One [Member] | Cash flow hedges [member] | Derivative Instruments Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (183,860)   (100,366)    
Other comprehensive income   183,860   100,366    
Other Comprehensive Income   (52,423)   (52,423)   47,942
Foreign Exchange One [Member] | Cash flow hedges [member] | Non Derivative Instruments Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (31,010)   (17,214)    
Other comprehensive income   31,010   17,214    
Foreign Exchange One [Member] | Cash flow hedges [member] | Non Derivative Instruments Non Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (65,580)   (36,405)    
Other comprehensive income   65,580   36,405    
Other Comprehensive Income   (510,105)   (510,105)   (883,218)
Foreign Exchange One [Member] | Cash Flow Hedgesand Fair Value [Member] | Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (66,723)   (66,723)   (95,558)
Asset / (Liability) net   66,723   66,723   95,558
Foreign Exchange One [Member] | Not Designated [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Increase (decrease) through foreign exchange, financial assets   (625,672)   (359,457)    
Foreign Exchange Derivatives result   594,162   178,101    
Foreign Exchange One [Member] | Not Designated [Member] | Not Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (20,465)   (20,465)   (55,442)
Asset / (Liability) net   20,465   20,465   55,442
Foreign Exchange One [Member] | Net Investment [Member] | Non Derivative Instruments Non Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (106,955)   (61,079)    
Other comprehensive income   106,955   61,079    
Other Comprehensive Income   (405,753)   (405,753)   (344,674)
Foreign Exchange One [Member] | Net Sales [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   12,349,193   34,539,353    
Foreign Exchange One [Member] | Derivatives Result [Member] | Cash flow hedges [member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Net Revenue   40,792   79,510    
Commodities [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Cost of Sales   (9,765,303)   (27,573,239)    
Other Comprehensive Income   (169,440)   209,373    
Other comprehensive income   169,440   (209,373)    
[custom:AssetLiabilityNet-0]   56,745   56,745   144,057
Asset / (Liability) net   (56,745)   (56,745)   (144,057)
Other Comprehensive Income   (38,067)   (38,067)   171,306
Inventories   538,512   538,512    
Inventories           442,398
Commodities [Member] | Cash flow hedges [member] | Derivative Instruments Current [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Other Comprehensive Income   (169,440)   (209,373)    
Other comprehensive income   169,440   209,373    
Other Comprehensive Income   (38,067)   (38,067)   171,306
Commodities [Member] | Cash Flow Hedgesand Fair Value [Member] | Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (56,745)   (56,745)   144,057
Asset / (Liability) net   56,745   56,745   (144,057)
Commodities [Member] | Derivatives Result [Member] | Cash Flow Hedgesand Fair Value [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Cost of Sales   (7,983)   (184,594)    
Commodities [Member] | Cost Of Sales One [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Cost of Sales   (9,757,320)   (27,388,645)    
Interest Rate [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Interests on loans and borrowings   (361,115)   (1,216,925)    
Effects on Financial Result   (401,180)   (1,251,950)    
[custom:AssetLiabilityNet-0]   33,938   33,938   14,649
Asset / (Liability) net   (33,938)   (33,938)   (14,649)
Interest Rate [Member] | Cash flow hedges [member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
Interest Rate Derivatives result   (40,065)   (35,025)    
Interest Rate [Member] | Cash Flow Hedgesand Fair Value [Member] | Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]   (33,938)   (33,938)    
Asset / (Liability) net   R$ 33,938   R$ 33,938    
Interest Rate [Member] | Not Designated [Member] | Not Designated Derivatives [Member]            
DisclosureOfFinancialInstrumentsAndRisksManagementLineItems [Line Items]            
[custom:AssetLiabilityNet-0]           14,649
Asset / (Liability) net           R$ (14,649)