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Deposits (Details 1) - BRL (R$)
R$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits R$ 3,133,996 R$ 766,086 R$ 0
Current 3,056,444 571,996  
Non-Current 77,552 194,090  
Due within 30 days      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits 646,232 5,231  
Due within 31 to 120 days      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits 1,029,936 77,812  
Due within 121 to 180 days      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits 313,008 53,000  
Due within 181 to 360 days      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits 1,067,268 435,952  
Due to 361 days or more days      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits 77,552 194,091  
Certificate of Deposit      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits R$ 2,510,818 R$ 604,916  
Basis of interest rate risk exposure to CDI (percent) 163.00% 164.00%  
Interbank deposits      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits R$ 404,998 R$ 0  
Basis of interest rate risk exposure to CDI (percent) 118.00%    
Corporate Securities      
Disclosure of maturity analysis for derivative financial liabilities [line items]      
Deposits R$ 218,180 R$ 161,170  
Basis of interest rate risk exposure to CDI (percent) 152.00% 158.00%