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Cash flow information (Tables)
12 Months Ended
Dec. 31, 2021
Disclosure of reconciliation of liabilities arising from financing activities [abstract]  
Summary of debt reconciliation
(i)    Debt reconciliation
Debt securities (i)
BorrowingsLease liabilitiesDebentures
Bonds
Total
Total debt as of January 1, 2019469,609 148,494 406,538  1,024,641 
Acquisitions / Issuance
— 124,196 400,000 — 524,196 
Payments
(85,353)(37,979)(11,815)— (135,147)
Net foreign exchange differences
— 3,085 — — 3,085 
Interest accrued
26,250 17,610 40,507 — 84,367 
Interest paid
(28,428) — — (28,428)
Total debt as of December 31, 2019382,078 255,406 835,230  1,472,714 
Total debt as of January 1, 2020382,078 255,406 835,230  1,472,714 
Acquisitions / Issuance
— 55,820 — — 55,820 
Write-off
— (78,321)— — (78,321)
Payments
(95,395)(57,473)(400,000)— (552,868)
Repurchase
— — (64,717)— (64,717)
Revaluation
— (10,050)— — (10,050)
Net foreign exchange differences
— 23,610 — — 23,610 
Interest accrued
11,892 19,456 21,473 — 52,821 
Interest paid
(14,488)— (56,736)— (71,224)
Total debt as of December 31, 2020284,087 208,448 335,250  827,785 
Total debt as of January 1, 2021284,087 208,448 335,250  827,785 
Acquisitions / Issuance
1,570,639 116,248 500,018 3,691,262 5,878,167 
Payments
(21,022)(55,349)(177,826)— (254,197)
Revaluation
— 24,234 — — 24,234 
Net foreign exchange differences
73,426 7,486 — 431,250 512,162 
Interest accrued
21,689 17,488 60,919 74,798 174,894 
Interest paid
(37)— (12,386)(69,004)(81,427)
Total debt as of December 31, 20211,928,782 318,555 705,975 4,128,306 7,081,618 
(i)    Debt securities includes Debentures measured at FVPL presented in Note 7(e) and does not include fair value adjustments of (i) Debentures - R$18,077 and (ii) Bonds - R$9,480 (December 31, 2020: nil).