v3.26.1
Consolidated Statements of Other Comprehensive Income - BRL (R$)
R$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Profit or loss [abstract]      
Net income R$ 23,924,636 R$ 17,542,153 R$ 14,502,765
Financial assets measured at fair value through other comprehensive income      
- Net change in fair value 1,678,554 (9,562,432) 7,174,835
- Gains/(Losses) reclassified to statement of income (99,338) 1,031,353 1,841,022
- Tax effect (608,851) 3,611,789 (3,713,554)
Unrealized gains/(losses) on hedge      
- Cash flow hedge (368,425) 973,180 738,831
- Hedge of investment abroad 328,791 (833,498) (5,799)
- Tax effect 8,889 (47,218) (343,838)
Foreign currency translation differences of foreign operations (172,692) 417,975 11,915
Items that will not be reclassified to the consolidated statement of income      
Net change in fair value of equity instruments measured at fair value through other comprehensive income (864,846) (2,225,375) (956,499)
Tax effect 306,222 787,343 331,966
Other 846,384 2,436,465 (1,200,819)
Total other comprehensive income/(loss) 1,054,688 (3,410,418) 3,878,060
Total comprehensive income 24,979,324 14,131,735 18,380,825
Attributable to shareholders:      
Shareholders of the parent 24,727,394 13,842,482 18,129,389
Non-controlling interests 251,930 289,253 251,436
Total comprehensive income R$ 24,979,324 R$ 14,131,735 R$ 18,380,825