v3.26.1
Financial Instruments - Schedule of Liquidity Risk (Details) - BRL (R$)
R$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Schedule of Liquidity Risk [Line Items]      
Accounts payable to suppliers R$ 56,897 R$ 61,284  
Other liabilities 841 775  
Loans and financing 758 2,887  
Debentures 7,992 40,740 [1]  
Deferred and contingent consideration 277,348 277,183  
Lease liabilities 2,157 1,891 R$ 1,519
Related parties 1,078  
Total 345,993 385,838  
Less than 1 year [Member]      
Schedule of Liquidity Risk [Line Items]      
Accounts payable to suppliers 56,897 61,284  
Other liabilities 841 775  
Loans and financing 569 2,512  
Debentures [1] 7,992 40,740  
Deferred and contingent consideration 277,348 277,183  
Lease liabilities 1,003 773  
Related parties   1,078  
Total 344,650 384,345  
1 to 3 years [Member]      
Schedule of Liquidity Risk [Line Items]      
Accounts payable to suppliers  
Other liabilities  
Loans and financing 189 375  
Debentures [1]  
Deferred and contingent consideration  
Lease liabilities 1,154 1,118  
Related parties    
Total R$ 1,343 R$ 1,493  
[1] The Company was not in compliance with the related financial covenants under the debentures on December 31, 2025, and 2024, and the amounts owed under the debentures are classified as current. Refer to Note 15 for details relating to these covenants and waiver obtained by the Company. Contractual principal payments are due quarterly beginning in May 2023 with final maturity in May 2026, as follows: