7Baggers

Embraer S.A
(NYSE:ERJ) 

ERJ stock logo

Embraer S.A. designs, develops, manufactures, and sells aircrafts and systems in Brazil, North America, Latin America, the Asia Pacific, Brazil, Europe, and internationally. It operates through Defense and Security; Executive Jets; Service & Support; and Other segments. The Defense and Security segm...

Founded: 1969
Full Time Employees: 18,734
Sector: Industrials
Industry: Aerospace & Defense

Share this website to your friends
• Market Cap:
• Exchange:
• Shs Outstanding:
• Employees:
• Beta:
• Return on Equity (ROE) ttm:
• Return on Assets (ROA) ttm:
• EPS ttm:
• Book value per Share:
• Cash per Share:
• Current ast per Share:
• P/E ttm:
• P/E forward:
• P/E ttm high:
• P/E ttm low:
• P/S ttm:
• P/B ttm:
• P/FCF ttm:
• PEG ratio:
• Cash Ratio ttm:
• Quick Ratio ttm:
• Current Ratio ttm:
• Gross Mgn ttm:
• EBITDA Mgn ttm:
• Operating Mgn ttm:
• Net Income Mgn ttm:
• Trailing Div yield:
• Forward Div yield:
• Payout Ratio ttm:
• Ex-Dividend date:
• Target Price High:
• Target Price Low:
• Target Price Mean:
• Number of Analysts:
• Debt Ratio ttm:
• Debt to Equity ttm:
• Total Net Debt:
At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income Statements:
Quarterly
Annual
    Unit: USD2025-09-22 2025-02-05 2023-06-30 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-03-31 2017-12-31 2017-06-30 2017-01-18 2016-12-31 2016-09-30 2016-03-31 2015-04-30 2014-09-30 2014-06-30 2014-03-31 2014-02-26 2013-12-31 2013-10-31 2013-08-28 2013-07-25 2013-04-29 2013-03-12 2012-12-31 2012-10-23 2012-07-30 2012-04-26 2012-03-20 2011-12-31 2011-11-03 2011-07-29 2011-05-02 2011-03-24 2010-12-31 2010-10-28 2010-08-03 2010-04-29 2010-03-18 2009-12-31 2009-10-30 2009-09-24 2009-07-30 2009-05-06 2009-03-27 2008-12-31 2008-05-07 2008-03-17 2007-12-31 2007-11-13 2007-08-15 2007-05-31 2007-03-23 2007-01-23 2006-12-31 2006-11-16 2006-10-12 2006-08-14 2006-05-15 2006-04-03 2005-12-31 
                                                                  
      revenue
    2,922,200,000 4,083,200,000      992,000,000  1,769,600,000  2,027,800,000 1,514,300,000 1,309,000,000 1,055,900,000 1,239,700,000 1,761,300,000  2,304,000,000 2,304,000,000 1,288,200,000  1,557,000,000 1,085,900,000 1,900,200,000 1,900,200,000 1,404,500,000 1,717,300,000 1,155,900,000 2,025,100,000 944,475 1,363,600 1,358,600,000 1,055,700,000 1,970,200,000                            
      yoy
           -51.08%  35.19%  63.57% -14.02%  -54.17% -46.19% 36.73%  47.98% 112.17% -32.21%  10.86% -36.77% 64.39% -6.17% 148606.95% 125838.69% -14.92% 91.83% -99.95%                                
      qoq
    -28.43%           33.91% 15.68% 23.97% -14.83% -29.61%   0.00% 78.85%   43.38% -42.85% 0.00% 35.29% -18.21% 48.57% -42.92% 214315.42% -30.74% -99.90% 28.69% -46.42%                             
      cost of sales and services
    -2,380,200,000 -3,359,700,000      -810,200,000  -1,452,500,000  -1,620,600,000 -1,229,800,000 -1,047,700,000 -805,600,000 -997,600,000 -1,376,100,000  -1,736,300,000 -1,736,300,000 -1,040,400,000  -1,197,200,000 -845,000,000 -1,433,800,000 -1,433,800,000 -1,049,500,000 -1,312,000,000 -887,700,000 -1,568,700,000 -731,800 -1,074,100 -1,053,800,000 -799,300,000 -1,639,600,000 -1,686,700,000 -811,800,000        -944,476,000 -1,440,978,000  -644,778,000 -1,435,953,000 -1,464,647,000 -1,117,678,000 -868,539,000 -627,043,000 -786,391,000  -786,391,000 -640,843,000 -1,309,000,000 -732,642,000 -576,358,000 -854,590,000  
      gross profit
    542,000,000 723,500,000 4,710     181,800,000  317,100,000  407,200,000 284,500,000 261,300,000 250,300,000 242,100,000 385,200,000  567,700,000 567,700,000 247,800,000  359,800,000 240,900,000 466,400,000 466,400,000 355,000,000 405,300,000 268,200,000 456,400,000 2,126,750,000 2,895,000,000 304,800,000 256,400,000 330,600,000 290,300,000 230,800,000 289,700,000 215,200,000  334,200,000 233,700,000 1,343,500,000 336,542,000 209,595,000 377,374,000  186,973,000 439,056,000 410,362,000 310,777,000 241,418,000 216,337,000 297,690,000 773,479,000 297,690,000 253,232,000 520,247,000 288,329,000 231,917,000 335,268,000  
      yoy
           -55.35%  21.35%  68.19% -26.14%  -55.91% -57.35% 55.45%  57.78% 135.66% -46.87%  1.35% -40.56% 73.90% 2.19% -83.31% -86.00% -12.01% 78.00% 543.30% 897.24% 32.06% -11.49% 53.62%  -30.94% 23.96% -83.98%  59.45% -38.07%  79.99% -52.26% -8.04%  -22.55% 102.95% 37.85% -59.82% -18.90% -14.57% -42.78% 168.26% 28.36% -24.47%      
      qoq
    -25.09% 15360834.18%          43.13% 8.88% 4.39% 3.39% -37.15%   0.00% 129.10%   49.36% -48.35% 0.00% 31.38% -12.41% 51.12% -41.24% -78.54% -26.54% 849.80% 18.88% -22.44% 13.88% 25.78% -20.33% 34.62%   43.00% -82.61% 299.21% 60.57% -44.46%   -57.41% 6.99% 32.04% 28.73% 11.59% -27.33% -61.51% 159.83% 17.56% -51.32% 80.44% 24.32% -30.83%   
      gross margin %
    18.55% 17.72% Infinity%    NaN% 18.33% NaN% 17.92% NaN% 20.08% 18.79% 19.96% 23.70% 19.53% 21.87% NaN% 24.64% 24.64% 19.24% NaN% 23.11% 22.18% 24.54% 24.54% 25.28% 23.60% 23.20% 22.54% 225178.01% 212305.66% 22.43% 24.29% 16.78% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity%  
      operating income
                                                                  
      yoy
                                                                  
      qoq
                                                                  
      operating margin %
    0% 0% NaN%    NaN% 0% NaN% 0% NaN% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% NaN% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  
      administrative expenses
    -101,900,000                                                              
      selling expenses
    -159,900,000                                            -65,806,000 -91,742,000  -77,000,000 -100,573,000 -114,790,000 -86,679,000 -83,896,000 -114,064,000 -68,986,000  -68,986,000 -111,567,000 -193,587,000 -115,280,000 -78,307,000 -91,814,000  
      expected credit losses
    -5,900,000                                                              
      research expenses
    -26,300,000                                                              
      other income
    41,700,000                                                              
      other incomes
    -55,400,000                                                              
      share of loss of investments accounted for under the equity method
    -3,600,000                                                              
      operating income before financial result
    230,700,000 409,200,000                                                             
      financial income
    116,400,000 283,600,000 619.7                            61,250,000 26,000,000 15,800,000 6,100,000 2,600,000                            
      financial expenses
    -295,500,000 -284,800,000 -1,264.6     -44,900,000  -11,500,000          -6,125,000 -8,500,000                                          
      foreign exchange
    -28,600,000                                                              
      income before income tax
    23,000,000 388,400,000                                                             
      income tax
    126,000,000 -71,800,000                                                             
      income for the period
    149,000,000 316,600,000                                                             
      administrative
     -145,100,000 -954.2     -44,300,000  -39,700,000  -44,000,000 -33,100,000 -39,000,000 -43,200,000 -51,600,000 -53,000,000  -52,400,000 -52,400,000 -51,300,000  -53,500,000 -53,300,000 -75,100,000 -75,100,000 -59,100,000 -75,300,000 -71,000,000 -71,500,000 -477,500,000 -694,000,000 -64,400,000 -57,200,000 -60,600,000                            
      selling
     -230,800,000 -1,416.1     -71,300,000  -84,900,000  -81,400,000 -86,700,000 -101,400,000 -86,100,000 -99,200,000 -115,100,000  -113,000,000 -113,000,000 -111,900,000  -121,400,000 -108,100,000 -143,700,000 -143,700,000 -111,000,000 -118,600,000 -108,700,000 -113,900,000 -763,500,000 -1,026,000,000 -108,800,000 -94,000,000 -105,600,000 -102,800,000 -91,000,000                          
      expected credit (losses) reversal
     -2,900,000                                                             
      research
     -37,000,000 -566.7     -9,800,000  -9,300,000  -18,800,000 -11,900,000 -6,600,000 -7,400,000 -9,700,000 -11,400,000  -13,900,000 -13,900,000 -9,200,000  -30,200,000 -21,400,000 -25,300,000 -25,300,000 -21,500,000 -14,500,000 -16,000,000 -26,000,000 -148,250,000 -209,000,000 -19,100,000 -19,300,000 -27,600,000                            
      other income (expenses)
     105,100,000                                                             
      equity in associates
     -3,600,000                                                             
      foreign exchange gain
     -19,600,000      400,000  -7,100,000  10,000,000 900,000 -11,400,000 -5,300,000 5,700,000 3,700,000  -10,900,000 -10,900,000 12,500,000    -5,700,000 -5,700,000 6,900,000 7,200,000 400,000 -6,900,000 67,250,000 143,000,000 9,300,000 3,300,000 -8,200,000 1,500,000 2,700,000      71,700,000                    
      net revenue
      23,448.8                                                            
      cost of products sold and services rendered
      -18,738.8                                                            
      net gains on accounts receivable and contract assets
      -84.7                                                            
      other operating expense
      -2,285.6                                             -2,820,000 27,368,000 33,130,250 141,480,000 -6,138,000 -2,820,000 -17,223,000  1,284,750 14,025,000  7,500,000 -16,386,000 -10,808,000  
      equity in associates gains and losses
      41.8                                                            
      operating profit
      -555.5                                                            
      monetary and foreign exchange variations
      137.8                                                            
      income before taxes
      -1,062.6                                                            
      income tax and social contribution
      15.4                                                            
      net loss of the period
      -1,047.2                                                            
      profit/loss attributable to:
                                                                  
      embraer shareholders
      -953.7                                                            
      non-controlling shareholders
      -93.6                                                            
      weighted-average number of outstanding shares in the period
                                                                  
      basic
      734.6       735,400,000   729,500,000 730,400,000 732,300,000 733,300,000 732,700,000  729,000,000  728,400,000  727,400,000 727,000,000 725,000,000  725,700,000 725,400,000 724,000,000 723,700,000  7,237,000,000 723,700,000 723,700,000 723,700,000      723,665  726,084    726,084                
      diluted
      734.6       735,900,000   730,100,000 733,400,000 735,900,000 736,900,000 736,100,000  732,800,000  733,400,000  732,700,000 730,900,000 727,700,000  727,900,000 729,300,000 725,900,000 724,400,000  7,239,000,000 724,400,000 725,000,000 724,200,000      723,665  726,084    726,084                
      profit per share
                                                                  
      basic
      -1.3                                                            
      diluted
      -1.3                                                            
      other operating income
           -29,700,000  -9,200,000  13,700,000 -181,600,000 -28,500,000 -33,900,000 -13,500,000 -18,900,000  73,600,000 73,600,000 1,100,000  -19,300,000 -18,400,000 5,700,000 5,700,000 -62,300,000 400,000 13,400,000 -250,600,000 72,750,000 276,000,000 -6,900,000 8,400,000 -4,400,000        16,000,000  -33,256,000 5,338,000         18,899,000        
      equity in gain or losses of associates
           -300,000    -50,000 -100,000 -100,000 -100,000     -225,000 -700,000  -100,000 -100,000                                       
      operating profit before financial income
           26,400,000  174,000,000  276,600,000 -28,900,000 85,700,000 79,600,000 68,100,000 186,800,000  462,900,000 462,900,000 75,800,000  135,300,000 39,600,000 228,000,000 228,000,000 100,900,000 197,400,000 85,700,000 -5,900,000 810,250,000 1,242,000,000 105,600,000 94,300,000 132,400,000                            
      profit before taxes on income
           -18,100,000  155,400,000  251,700,000 -49,000,000 73,900,000 59,100,000 70,900,000 188,600,000  380,100,000 380,100,000 79,800,000  109,900,000 32,700,000 224,100,000 224,100,000 107,000,000 204,700,000 78,200,000 -128,000,000 938,750,000 1,411,000,000 130,700,000 103,700,000 126,800,000                            
      income tax income
           7,900,000  -85,900,000     -118,000,000 -77,100,000 -41,900,000      -113,700,000 -2,300,000 -101,400,000 -41,025,000 -41,700,000 -150,200,000 -14,600,000 39,400,000 -416,250,000 -1,368,000,000 -32,300,000 2,600,000 2,800,000                            
      net income
           -10,200,000  69,500,000  195,800,000 -32,500,000 106,000,000 -58,900,000 -6,200,000 146,700,000  265,000,000 265,000,000 54,500,000  -3,800,000 30,400,000 122,700,000 122,700,000 65,300,000 54,500,000 63,600,000 -88,600,000 522,500,000 43,000,000 98,400,000 106,300,000 129,600,000 133,100,000 99,700,000 74,300,000 38,300,000  154,600,000 60,600,000 396,200,000 67,844,000 -23,393,000 111,690,000  26,194,000 200,880,000 200,878,000 194,910,000 67,321,000 26,195,000 124,434,000 265,706,000 124,433,000 61,352,000 204,355,000 139,096,000 65,258,000 156,024,000  
      yoy
           -105.21%  -34.43%  -3258.06% -122.15%  -122.23% -102.34% 169.17%  -7073.68% 771.71% -55.58%  -105.82% -44.22% 92.92% -238.49% -87.50% 26.74% -35.37% -183.35% 303.16% -67.69% -1.30% 43.07% 238.38%  -35.51% 22.61% -90.33%  -760.88% -45.74%  159.01% -111.65% -44.40%  -61.09% 666.86% 61.43% -26.64% -45.90% -57.30% -39.11% 91.02% 90.68% -60.68%      
      qoq
               -702.46% -130.66% -279.97% 850.00% -104.23%   0.00% 386.24%   -112.50% -75.22% 0.00% 87.90% 19.82% -14.31% -171.78% -116.96% 1115.12% -56.30% -7.43% -17.98% -2.63% 33.50% 34.19% 93.99%   155.12% -84.70% 483.99% -390.02% -120.94%   -86.96% 0.00% 3.06% 189.52% 157.00% -78.95% -53.17% 113.53% 102.82% -69.98% 46.92% 113.15% -58.17%   
      net income margin %
    0% 0% NaN%    NaN% -1.03% NaN% 3.93% NaN% 9.66% -2.15% 8.10% -5.58% -0.50% 8.33% NaN% 11.50% 11.50% 4.23% NaN% -0.24% 2.80% 6.46% 6.46% 4.65% 3.17% 5.50% -4.38% 55321.74% 3153.42% 7.24% 10.07% 6.58% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% -Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity%  
      attributable to:
                                                                  
      owners of embraer
           -12,300,000  59,100,000  195,300,000 -33,700,000 103,900,000 -61,700,000 -10,700,000 143,400,000  264,500,000 264,500,000 52,900,000  -5,300,000 30,000,000 123,200,000 123,200,000 65,200,000 54,300,000 62,700,000 -91,800,000 508,500,000 19,000,000 96,400,000 105,100,000 122,700,000                            
      noncontrolling interest
           2,100,000  10,400,000  500,000 1,200,000 2,100,000 2,800,000 4,500,000 3,300,000  500,000 500,000 1,600,000  1,500,000 400,000 -500,000 -500,000 100,000 200,000 900,000 3,200,000 14,000,000 24,000,000 2,000,000 1,200,000 6,900,000                            
      * restated
                                                                  
      adjusted ebit reconciliation
           1,000,000                                                       
      provision for voluntary redundancy scheme
                                                                  
      impact of penalty provision
                                                                  
      non-recurring items related to republic airways
                                                                  
      impairment loss defense and security business
                                                                  
      impairment loss executive jet business
                                                                  
      adjusted ebit
           26,400,000                                                       
      adjusted ebit margin %
           2,700,000                                                       
      adjusted net income reconciliation
           1,000,000                                                       
      net income attributable to embraer
           -12,300,000                            51,025,000 98,500,000 70,300,000 35,300,000 146.4 146,400,000 57,700,000 388,700,000                    
      net change in deferred income tax & social contribution
           -12,300,000                                                       
      after-tax provision for voluntary redundancy scheme
                                                                  
      after-tax non-recurring items related to republic airways
                                                                  
      after-tax defense and security business impairment loss
                                                                  
      after-tax executive jet business impairment loss
                                                                  
      adjusted net income
           -24,600,000                                                       
      adjusted net margin
           -2,500,000                                                       
      weighted-average number of shares
               735,571        729,001      725,023          723,665                           
      basic
      734.6       735,400,000   729,500,000 730,400,000 732,300,000 733,300,000 732,700,000  729,000,000  728,400,000  727,400,000 727,000,000 725,000,000  725,700,000 725,400,000 724,000,000 723,700,000  7,237,000,000 723,700,000 723,700,000 723,700,000      723,665  726,084    726,084                
      diluted
      734.6       735,900,000   730,100,000 733,400,000 735,900,000 736,900,000 736,100,000  732,800,000  733,400,000  732,700,000 730,900,000 727,700,000  727,900,000 729,300,000 725,900,000 724,400,000  7,239,000,000 724,400,000 725,000,000 724,200,000      723,665  726,084    726,084                
      earnings per share
                                                                  
      basic
             0.08    0.142 -0.084 -0.015 0.196  0.363 0.027 0.073  -0.007 0.041 0.17 0.077 0.09 0.075 0.087 -0.127 7,026 259 0.133 0.145 0.17        0.535                    
      diluted
             0.08    0.142 -0.084 -0.015 0.195  0.361 0.026 0.072  -0.007 0.041 0.169 0.077 0.09 0.075 0.086 -0.127 7,015 258 0.133 0.145 0.169        0.535                    
      earnings per share - ads basic
             0.321    0.569 -0.337 -0.058 0.783  1.451 0.106 0.291  -0.029  0.68 0.31 0.359 0.3 0.346 -0.507 2,810.25 103 0.533 0.581 0.678 0.282 0.544        -0.129 0.718  0.142 1.085 0.39 1.053  0.142 0.673  0.36 0.332  0.753  0.893  
      earnings per share - ads diluted
             0.321    0.567 -0.335 -0.058 0.779  1.444 0.106 0.289  -0.029  0.677 0.308 0.358 0.298 0.345 -0.507 2,806 103 0.532 0.58 0.678 0.282 0.544        -0.129 0.718  0.141 1.084 0.389 1.051  0.141 0.67  0.358 0.331  0.75 0.371 0.889  
      derived from unaudited financial statements.
                                                                  
      financial (expenses) income
               -4,125,000 -21,000,000 -400,000 -15,200,000 -2,900,000 -1,900,000  -71,900,000    -8,700,000 -7,400,000 1,800,000 -2,150,000 -800,000 100,000 -7,900,000 -115,200,000                                 
      income tax expense
               16,150,000 16,500,000 32,100,000     -115,100,000 -35,325,000 -25,300,000                            20,837,000 -5,895,000 -28,266,000 -481,000  15,043,000  -14,863,750 -25,731,000  -25,690,000  5,961,000  
      losses per share
                                                                  
      basic
               -0.01 -0.046                                                  
      diluted
               -0.01 -0.046                                                  
      losses per share - ads basic
               -0.04 -0.185                                                  
      losses per share - ads diluted
               -0.04 -0.184                                                  
      equity in losses of associates
                      900,000                                            
      foreign exchange gain or loss
                          -16,700,000 500,000                                       
      earnings per share – ads basic
                           0.165                                       
      earnings per share – ads diluted
                           0.164                                       
      equity
                             -50,000 -200,000 100,000 -200,000 -300,000                                 
      gross sales
                                                        845,436,000          
      domestic market
                                       101,675,000 139,700,000 188,400,000 78,600,000  190,200,000 71,200,000 282,100,000 271,567,000 42,946,000 81,184,000  27,831,000 93,998,000 28,801,250 58,904,000 28,471,000 27,831,000 30,772,000 115,291,000   67,978,000  33,880,000 57,479,000  
      foreign market
                                       755,350,000 915,300,000 1,185,000,000 921,100,000  4,940,303,000 1,188,000 6,130,100,000 1,196,357,000 1,123,865,000 1,744,364,000  825,846,000 1,833,083,000 835,762,000 1,404,460,000 1,112,741,000 817,605,000 1,055,530,000 2,613,618,000   1,764,133,000  775,370,000 1,134,621,000  
      sales deductions
                                       -10,250,000 -12,400,000        -12,740,000 -7,196,000  -21,926,000 -52,072,000 -22,022,500 -34,909,000 -31,255,000 -2,055,000 -2,221,000    -2,864,000  -975,000 -2,242,000  
      net sales
                                       846,775,000 1,042,600,000 1,354,300,000 990,100,000 1,609.6 5,462,444,000 1,246,000 6,335,200,000 1,456,649,000 1,154,071,000 1,818,352,000  831,751,000 1,875,009,000 1,875,009,000 1,428,455,000 1,109,957,000 843,381,000 1,084,081,000 2,723,322,000 1,084,081,000 894,075,000 1,829,247,000 1,020,971,000 808,275,000 1,189,858,000  
      research and development
                                       -23,775,000 -33,300,000        -46,311,000 46,559,000  -45,778,000 -83,727,000 -104,640,000 -54,317,000 -56,548,000 -44,222,000 -36,102,000  -36,102,000 -39,801,000 -36,840,000 12,889,000 -49,729,000 -31,071,000  
      general and administrative
                                       -34,225,000 -52,600,000        -36,976,000 -62,920,000  -45,897,000 -65,303,000 -72,519,000 -59,951,000 -56,965,000 -45,357,000 -83,579,000  -37,981,500 -55,705,000  -45,185,000 -51,036,000 -66,257,000  
      other operating income (expenses)
                                       3,350,000 8,800,000 4,500,000    2,200,000  7,732,000                   
      income from operations
                                       61,450,000 62,700,000 125,700,000 57,400,000  65,700,000 68,000,000 537,000,000 174,662,000 27,246,000 274,609,000  15,478,000 178,807,000 97,279,000 230,254,000 31,194,000 4,583,000 76,266,000 231,473,000 90,026,000 46,362,000 171,351,000 134,891,000 36,459,000 114,433,000  
      interest income
                                       6,850,000 7,900,000 7,700,000      8,857,000    10,029,000       99,662,000   58,895,000     
      income before income taxes
                                       67,650,000 73,300,000 131,200,000 66,100,000  73,400,000 47,600,000 437,300,000 133,710,000 22,084,000 170,038,000  19,750,000 189,939,000 189,939,000 223,953,000 66,271,000 19,750,000 114,208,000 329,958,000 114,208,000 88,750,000 241,208,000 167,863,000 73,344,000 152,231,000  
      income tax benefit
                                       -4,400,000 26,400,000     13,000,000           5,167,000       -8,034,000   
      net income attributable to the noncontrolling interest
                                       -2,050,000 -1,200,000                          
      earnings per share
                                                                  
      basic common
                                       0.071 0.136                          
      diluted common
                                       0.07 0.136                          
      weighted-average shares
                                                                  
      foreign exchange loss ,net
                                                                  
      income tax expenses
                                                             -33,724,000     
      earnings per share
                                                                  
      basic and diluted
                                                                  
      common
                                         0.097 0.049  0.035 0.08   -0.032 0.18  0.035 0.271 0.097 0.263 0.126 0.035 0.168 0.36 0.168 0.083 0.277 0.188 0.085 0.203  
      weighted-average shares
                                                                  
      basic and diluted
                                                                  
      earnings per share - ads basic and diluted
                                         0.388 0.195 0.809 0.141 0.319  0.375                   
      interest income (expenses)
                                          11,800,000  5,375,000 14,600,000                     
      usgaap
                                                                  
      ebit
                                           65.8                       
      ebit margin %
                                           4.1                       
      income before equity
                                            154,600,000 60,600,000 396,200,000                    
      equity in earnings of affiliates
                                                 -245,000  33,000               
      employee profit sharing
                                                    -38,013,000 -8,256,500 -21,056,000 -6,678,000 -5,292,000 -15,535,000  -15,535,000 -13,822,000 -13,362,000 -13,362,000  -20,885,000  
      interest (expenses) income
                                                                  
      less: net income attributable to the noncontrolling interests
                                              7,500,000                    
      operating expenses
                                                                  
      income tax benefits
                                                -45,370,000 -55,305,000  5,167,000               
      income (losses) before equity
                                               70,344,000                   
      consolidated income
                                               70,344,000                   
      basic and diluted common
                                               0.094                   
      interestincome
                                                -1,978,000 -154,030,000              32,023,000   
      foreign exchange gain ,net
                                                -3,184,000 49,459,000  -5,757,000 -10,158,000 -6,877,750 -11,108,000 -10,646,000 -5,757,000 -3,071,000  -256,500 1,860,000   1,287,000 4,302,000  
      income (losses) before minority interest and results of affiliates
                                                -23,286,000                  
      minority interest
                                                -107,000 -2,798,000  1,244,000 -9,915,000 -9,915,000 -897,000 1,354,000 1,244,000 -4,784,000  -4,783,000 -1,668,000 -3,129,000 -3,077,000 -52,000 -2,168,000  
      earnings per share
                                                                  
      basic
             0.08    0.142 -0.084 -0.015 0.196  0.363 0.027 0.073  -0.007 0.041 0.17 0.077 0.09 0.075 0.087 -0.127 7,026 259 0.133 0.145 0.17        0.535                    
      common
                                         0.097 0.049  0.035 0.08   -0.032 0.18  0.035 0.271 0.097 0.263 0.126 0.035 0.168 0.36 0.168 0.083 0.277 0.188 0.085 0.203  
      diluted
                                                                  
      weighted-average shares
                                                                  
      basic
      734.6       735,400,000   729,500,000 730,400,000 732,300,000 733,300,000 732,700,000  729,000,000  728,400,000  727,400,000 727,000,000 725,000,000  725,700,000 725,400,000 724,000,000 723,700,000  7,237,000,000 723,700,000 723,700,000 723,700,000      723,665  726,084    726,084                
      income before minority interest and results of affiliates
                                                 114,733,000  24,917,000               
      weighted average shares
                                                                  
      basic
                                                                  
      derived from unaudited quarterly financial information.
                                                                  
      interest(expense) income
                                                    21,289,000 15,140,000 4,807,000 45,724,000 20,925,000          
      income before minority interest
                                                    210,776,000 71,598,750 195,687,000 65,790,000 24,918,000 129,251,000 270,503,000 67,625,750 63,019,000 207,484,000 142,173,000 65,310,000 158,192,000  
      equity in income from affiliates
                                                    19,000 74,250 120,000 177,000 33,000 -34,000         
      other non-operating income
                                                         151,000  3,402,250 -239,000 13,848,000 10,273,000 3,575,000 9,775,000  
      preferred
                                                               0.093 0.223  
      diluted
                                                                  
      net financial income
                                                         40,863,000  24,915,500 40,767,000  26,872,000  23,721,000  
      general and administrative expenses
                                                             -96,221,000     
      exchange loss
                                                             -2,886,000     
      other comprehensive income
                                                                  
      foreign currency translation adjustment
                                                          4,573,000   4,182,000     
      comprehensive income
                                                          270,280,000   208,537,000     
      basic-
                                                                  
      preferred
                                                               0.093 0.223  
      diluted-
                                                                  
      other operating expenses
                                                             -8,886,000     
      foreign exchange gain (loss) ,net
                                                              -4,173,000    
      earnings per share -ads basic
                                                               0.373   
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2024-03-31 2023-06-30 2020-12-31 2019-12-31 2018-03-31 2017-12-31 2016-09-30 2015-12-31 2014-12-31 2013-12-31 2013-03-12 2012-12-31 2012-10-23 2012-07-30 2012-04-26 2012-03-20 2011-12-31 2011-11-03 2011-07-29 2011-05-02 2011-03-24 2010-12-31 2010-10-28 2010-08-03 2010-04-29 2010-03-18 2009-12-31 2009-10-30 2009-09-24 2009-07-30 2009-05-06 2009-03-27 2008-12-31 2008-05-07 2008-03-17 2007-12-31 2007-11-13 2007-08-15 2007-05-31 2007-03-23 2007-01-23 2006-12-31 2006-11-16 2006-10-12 2006-08-14 2006-05-15 2006-04-03 2005-12-31 2004-12-31 
                                                       
        shareholders' equity1
      14,714.2                                                 
        loans and financing
      13,973.5 16,713.5   438,000,000  466,300,000 219,400,000   336,300,000  473,800,000 526.9 526.9 251.8  217.7 152,800,000 152.8 72.6  326.4 464,400,000 464.4 587.7 587,700,000 891.7 529,300,000 419,306,000 419,306 534,560 529,300,000 785,451,000 932,669,000 932,668,000 472,499,000 778,624,000 778,624,000 846,104,000  503,047,000 895,001,000  1,001,995,000 389,464,000 576,887,000 475,305,000  
        debt capital + equity capital
      28,687.7 31,450.3                                                
        debt capital / equity capital
      0.95 1.13                                                
        consolidated
                                                       
        amounts in r million
      2,023 2,022                                                
        net cash
      2,737.1 3,767.2                                                
        net cash (indebtedness) without eve
      6,796.5                                                 
        ebitda
      2,577 418.6                                                
        adjusted ebitda
      2,758.8                                                 
        financial indebtedness
      13,973.5 16,713.5                                                
        shareholders' equity
      14,714.2                              2,183,642 2,209,277                  
        financial income
      -961.7 -644.8                                                
        financial indebtedness / adjusted ebitda
      5.1                                                 
        adjusted ebitda / financial income
      -2.7                                                 
        financial indebtedness / shareholders' equity
      0.9                                                 
        current assets
      29,316.1 30,036.7        5,169.4                                        
        non-current assets
      2,465.1 2,151.3                                                
        investments
      136.4 64.2   6,200,000  2,900,000 1,200,000  2.8   2,700,000 2.5 2.5 2.8       42.7 47,600,000 47.6 25.3 25,300,000 63.8 68,700,000 62,175,000 62,175 68,729 68,700,000 42,835,000 42,458,000 42,458,000 40,707,000 34,445,000 34,445,000 33,844,000 33,465,000 33,844,000 32,391,000 32,391,000 32,160,000 32,160,000 31,681,000 31,433,000  
        property, plant and equipment
      8,572.6 8,605.1 1,956,000,000 968,900,000 2,075,200,000 2,104,900,000 2,081,100,000 2,027,400,000 2,025,800  1,738,500,000 1,738,500,000 1,483,400,000 1,455 1,455 1,450.4 1,450,400,000 1,336.1 1,258,000,000 1,258 1,201 1,201,000,000 743.9  746 756.8 756,800,000 748 737,900,000 748,809,000 748,809 751,786 737,900,000 593,690,000 565,979,000 565,979,000 507,328,000 442,144,000 441,533,000 412,624,000 391,604,000 412,244,000 391,190,000 391,190,000 384,718,000 384,718,000 399,372,000 388,362,000 381,265,000 
        right of use
      426 339.6                                                
        intangible assets
      11,285 11,721.4 2,075,600,000 894,100,000 1,877,900,000 1,882,400,000 1,498,200,000 1,405,400,000 1,260,900  958,900,000 958,900,000 877,100,000 851 851 808.3 808,300,000 832 729,700,000 729.7 716.3 716,300,000 2.9 2,100,000        659                  
        total assets
      52,201.2 52,918.3 10,547,600,000 10,572,500,000 11,995,100,000 11,936,200,000 11,936,900,000 11,669,500,000 10,411,000 8,858.3 9,490,400,000 9,490,400,000 9,568,100,000 9,465.4 9,465.4 8,858.3 8,858,300,000 9,252.5 8,760,100,000 8,760.1 8,391 8,391,000,000 8,044.1 8,294,200,000 8,294.2 8,451.5 8,451,500,000 8,393.6 8,643,900,000 8,326,970,000 8,326,970 8,643,915 8,643,900,000 8,147,250,000 7,866,116,000 8,065,854,000 8,102,921,000 7,126,349,000 7,126,349,000 7,210,400,000 7,496,355,000 7,315,701,000 7,332,582,000 7,332,582,000 6,899,355,000 6,899,355,000 7,024,820,000 6,932,445,000 6,082,399,000 
        current liabilities
      17,746 16,787.7        2,841.7                                        
        non-current liabilities
      19,741 21,394.8                                                
        non-controlling interest
      1,223.9 1,340.1   110,500,000  93,800,000 101,900,000   92,000,000                                       
        total liabilities
      52,201.2 52,918.3   7,811,200,000  8,118,100,000 7,825,800,000   6,140,100,000  6,333,000,000 6,290.5 6,290.5 5,740.5  5,995 5,562,500,000 5,562.5 5,259.5                             
        shareholders’ equity
       14,736.8 2,826,500,000 3,517,700,000  4,068,600,000    3,117.8                                       1,353,868,000 
        financial indebtedness/ebitda
       39.9                                                
        ebitda/financial income
       -0.6                                                
        financial debt / shareholders’ equity
       1.1                                                
        cash and cash equivalents
        1,883,100,000 855,200,000 1,287,500,000 1,270,800,000 1,223,200,000 2,165,500,000 1,713,000  1,801,200,000 1,801,200,000 1,685,500,000 1,436.6 1,436.6 1,350.2 1,350,200,000 1,350.9 1,302,500,000 1,302.5 1,393.1 1,393,100,000 1,115.2 1,138,400,000 1,138.4 1,592.4 1,592,400,000 688.9 1,391,400,000 605,628,000 605,628 1,429,990 1,391,400,000 1,268,493,000 1,307,366,000 1,307,366,000 875,927,000 919,122,000 919,122,000 1,222,047,000 1,230,423,000 1,209,396,000 814,869,000 814,869,000 627,175,000 804,959,000 976,093,000 1,339,159,000 963,818,000 
        financial investments
        817,500,000 409,800,000 1,890,200,000 2,365,600,000 1,072,200,000 622,600,000 710,600  578,200,000 578,200,000                                      
        inventories
        2,469,500,000 1,304,400,000 2,480,400,000 2,148,700,000 2,719,600,000 2,314,600,000   2,155,300,000  2,526,600,000 2,647.5 2,647.5 2,283.4  2,691.7 2,555,900,000 2,555.9 2,193.4  2,240.4 2,352,800,000 2,352.8 2,333.9 2,333,900,000 2,867.2 2,829,000,000 3,056,771,000 3,056,771 2,829,043 2,829,000,000 2,677,997,000 2,481,065,000 2,481,065,000 2,620,877,000 2,317,357,000 2,317,357,000 2,047,245,000 1,882,287,000 2,047,244,000 1,638,835,000 1,638,835,000 1,647,924,000 1,647,924,000 1,571,026,000 1,477,559,000  
        other current assets
        977,200,000 827,400,000  1,266,600,000   3,387,100   2,986,500,000     3,065,600,000     2,856,200,000 242.2 245,700,000 245.7 233  199.8  237,926,000 237,926 273,477  259,877,000 217,157,000  511,336,000 488,732,000 495,245,000 471,428,000   521,153,000  431,473,000 431,473,000 451,501,000  2,514,733,000 
        other long-term assets
        368,700,000 138,100,000  897,200,000   1,313,600   1,427,100,000     1,430,200,000     1,490,900,000                           1,825,625,000 
        assets held for sale
         5,174,600,000                                              
        short-term loans and financing
        375,500,000 14,900,000  388,900,000   89,700   336,300,000     251,800,000     72,600,000                           513,281,000 
        other current liabilities
        2,053,200,000 1,387,100,000  2,393,700,000                                        591,216,000 655,820,000  1,802,820,000 
        long-term loans and financing
        4,072,500,000 76,100,000  3,809,600,000   2,418,400   1,730,200,000     1,406,300,000     1,362,200,000                           825,448,000 
        other long-term liabilities
        1,107,300,000 495,800,000  1,162,000,000   1,574,900   1,617,500,000     1,492,500,000     1,508,600,000                        686,603,000 684,622,000  1,565,539,000 
        non-controlling interests
        112,600,000 96,900,000                                              
        total shareholders’ equity
        2,939,100,000 3,614,600,000  4,182,000,000   3,864,800   3,350,300,000     31,117,800,000     3,131,500,000 2,514.9 2,454,500,000 2,454.5 2,428.6  2.329              1,874,281,000  1,777,345,000    1,620,254,000  
        liabilities held for sale
         4,984,000,000                                              
        total liabilities and shareholders’ equity
        10,547,600,000 10,572,500,000  11,936,200,000   10,411,000 8,858.3 9,490,400,000 9,490,400,000 9,568,100,000 9,465.4 9,465.4 8,858.3 8,858,300,000 9,252.5 8,760,100,000 8,760.1 8,391 8,391,000,000 8,044.1 8,294,200,000 8,294.2 8,451.5 8,451,500,000 8.393 8,643,900,000 8,326,970,000   8,643,900,000       7,210,401,000   7,332,582,000 7,332,582,000 6,899,355,000 6,899,355,000 7,024,820,000  6,082,399,000 
        trade accounts receivable
          898,400,000  823,800,000 781,900,000   529,200,000  535,300,000 494 494 505.8  466.3 404,000,000 404 348.6  449.4 449,700,000 449.7 396.9 396,900,000  438,100,000 424,689,000   438,100,000   354,650,000     392,849,000 272,153,000  465,275,000  476,203,000  445,520,000  
        derivative financial instruments
          23,800,000  28,900,000 5,200,000   11,200,000  9,500,000 9.3 9.3 8.2  6.7 6,800,000 6.8 6.8                             
        customer and commercial financing
          2,000,000  9,600,000 10,800,000   22,700,000  21,600,000 23.7 23.7 12  8.8 9,100,000 9.1 20.4  8.7  10.1 11.2 11,200,000 12.8 8,600,000 14,063,000 14,063 8,610 8,600,000 74,352,000 4,292,000 4,292,000 16,583,000 15,649,000 15,649,000 16,215,000 11,811,000 16,215,000 27,796,000 27,796,000 93,244,000 93,244,000 12,971,000 147,118,000  
        collateralized accounts receivable
          195,200,000  123,400,000 91,400,000   13,000,000  13,800,000 13.9 13.9 14.9  11.9 11,900,000 11.9 11.6  12.1 12,100,000 12.1 12 12,000,000 11.4 11,500,000 11,538,000 11,538 11,504 11,500,000 12,646,000 4,087,000 12,416,000 38,753,000 31,499,000 31,499,000 70,980,000 87,466,000 70,980,000 70,347,000 70,347,000 56,985,000 52,527,000 50,787,000 65,440,000  
        income tax and social contribution
          101,500,000  182,800,000 130,200,000   63,600,000  62,700,000 20.7 20.7 11.2  14.1 17,600,000 17.6 10                             
        other assets
          273,200,000  387,700,000 289,400,000   255,100,000  257,500,000 233.7 233.7 241.3  282.3 270,300,000 270.3 275.4      233,000,000  273,500,000    273,500,000   217,157,000     274,719,000 169,758,000  211,966,000    444,955,000  
        7,098.7
          7,152,200,000                                             
        guarantee deposits
          396,900,000  584,000,000 577,300,000   581,500,000  473,900,000 471.8 471.8 471.4  465.1 462,700,000 462.7 464.8      505,300,000  493,200,000    493,200,000   469,554,000     313,486,000 301,670,000  309,187,000      
        deferred income tax
          4,900,000  4,500,000 4,500,000   12,900,000  12,900,000 61.8 61.8 65.9  114.7 139,800,000 139.8 139.1               5,547,000              
        891.2
          883,600,000                                             
        3,992.9
          3,959,300,000                                             
        derived from unaudited financial information.
                                                       
        * restated
                                                       
        embraer s.a.
                                                       
        consolidated statement of financial position
                                                       
        liabilities
                2,012,000,000                                       
        trade accounts payable
          893,500,000  1,068,200,000 1,034,900,000   758,900,000  962,500,000 948.6 948.6 829.9  1,036.5 906,500,000 906.5 750.2  751.1 652,500,000 652.5 595.8 595,800,000 892.3 1,078,100,000 1,202,997,000 1,202,997 1,078,104 1,078,100,000 1,110,982,000 912,546,000 912,546,000 1,095,027,000 903,151,000 903,151,000 912,754,000  912,753,000 693,457,000 693,457,000 737,696,000 737,696,000 614,080,000 728,011,000  
        non-recourse and recourse debt
          21,700,000  17,300,000 10,100,000   11,900,000  313,500,000 312.3 312.3 312.8  114.2 113,200,000 113.2 111.8  133.2 132,600,000 132.6 135.9 135,900,000 137.1 137,700,000 137,150,000 137,150  137,700,000   113,965,000      388,380,000  376,596,000  486,627,000 612,436,000 321,172,000  
        other payables
          321,000,000  355,000,000 291,100,000   277,600,000  82,700,000 75.7 75.7 81.3  90.2 74,100,000 74.1 84.4                             
        advances from customers
          859,400,000  779,000,000 743,800,000   902,000,000  905,400,000 919.8 919.8 856.1  869.5 873,000,000 873 779.4  844.5 792,100,000 792.1 768.5 768,500,000 1.16 1,151,500,000 1,184,005,000 1,184,005 1,151,494 1,151,500,000 904,008,000 801,619,000 801,619,000 713,034,000 650,677,000 650,677,000 544,802,000  544,802,000 593,271,000 593,271,000 546,764,000 546,764,000 438,477,000 485,958,000  
        taxes and payroll charges payable
          45,400,000  42,000,000 70,800,000   65,400,000  52,400,000 65.3 65.3 89.2  90.6 59,200,000 59.2 79.5  45.7 41,900,000 41.9 64.9 64,900,000 39.3 57,500,000 36,445,000 36,445 57,539 57,500,000 95,352,000 98,165,000 98,165,000 150,492,000 135,486,000 135,486,000 133,085,000  136,950,000 117,941,000 117,941,000 110,353,000   113,360,000  
        financial guarantee and residual value
          35,900,000  78,100,000 161,500,000                                          
        provisions
          137,100,000  298,800,000 95,700,000   96,700,000                                       
        dividends payable
          23,300,000  9,700,000 2,700,000   30,400,000                               35,555,000  47,025,000    42,811,000  
        unearned income
          148,100,000  310,100,000 320,000,000   133,700,000  122,000,000 132.2 132.2 131.1  142.2 137,000,000 137 132.6           113,076  90,397,000 100,838,000  84,868,000 86,125,000            
        2,811.8
          2,938,900,000                                             
        deferred income tax and social contribution
          248,200,000  252,700,000 417,300,000   26,500,000  25,900,000 23.4 23.4 23  7.3   11.4                             
        4,978.4
          4,872,300,000                                             
        capital
          1,551,600,000  1,438,000,000 1,438,000,000   1,438,000,000  1,438,000,000 1,438 1,438 1,438  1,438 1,438,000,000 1,438 1,438                             
        treasury shares
          -47,200,000  -48,300,000 -38,400,000   -154,200,000  -164,400,000 -181.2 -181.2 -183.7  -183.7 -183,700,000 -183.7 -183.7                             
        revenue reserves
          2,640,100,000  2,450,400,000 2,456,300,000   1,980,300,000  1,737,500,000 1,740.9 1,740.9 1,740.9  1,736.2 1,763,400,000 1,763.4 1,759.8                             
        share-based remuneration
          37,400,000  36,100,000 35,400,000   21,000,000  17,600,000 12.2 12.2 9.7  5.3 2,700,000 2.7 3.4                             
        retained earnings
          -7,600,000  -18,100,000      117,600,000 61.5 61.5   128.8 51,300,000 51.3                        348,993,000    305,914,000  
        accumulated other comprehensive loss
          -100,900,000  -133,100,000 -149,500,000                                          
        4,079.2
          4,073,400,000                                             
        total company's shareholders' equity
          4,183,900,000  3,818,800,000 3,843,700,000                                          
        total liabilities and shareholders' equity
          11,995,100,000  11,936,900,000 11,669,500,000                       8,326,970 8,643,915  8,147,250,000 7,866,116,000 8,065,854,000 8,102,921,000 7,126,349,000 7,126,349,000   7,315,701,000      6,932,445,000  
        noncontrolling interest
           113,400,000   100,000   92,000,000 86,800,000 90.9 90.9 110.4 110,500,000 111.7 108,100,000 108.1 103.1 103,100,000 90.7 89,900,000 89.9 90.3 90,300,000 73.2 70,000,000                     
        5,810.7
             6,411,600,000                                          
        1,313.2
             1,823,900,000                                          
        4,600.3
             5,257,900,000                                          
        derived from audited financial information.
                                                       
        2,552.9
             3,080,400,000                                          
        3,993.3
             4,745,400,000                                          
        3,764.8
             3,741,800,000                                          
        other current payables
              2,463,200   2,456,100,000     2,589,900,000     2,316,100,000                            
        company shareholders’ equity
              3,764,800   3,258,300,000     3,007,300,000     3,028,400,000 2,424.2 2,364,600,000 2,364.6                         
        non current assets
               3,686.1                                        
        non current liabilities
               2,898.8                                        
        contribution from suppliers
                900,000  900,000 0.9 0.9 0.9  0.9 900,000 0.9 0.9  22.5 47,100,000 47.1 67.7 67,700,000 65.2 44,300,000 83,626,000 83,626 44,267 44,300,000 110,407,000 112,201,000 112,201,000 91,526,000 99,070,000 99,070,000 92,217,000  92,217,000 140,095,000 140,095,000 93,441,000 93,441,000 107,648,000 97,852,000  
        financial guarantee and residual value guarantee
                114,100,000   489.9 489.9 494.9                                  
        other comprehensive income
                -26,800,000                                       
        total company’s shareholders’ equity
                3,350,300,000  3,235,100,000 3,174.9 3,174.9 3,117.8  3,257.5 3,197,600,000 3,197.6 3,131.5                             
        consolidated statement of financial position data
                                                       
        financial assets
                  760,500,000 853.4 853.4 753.6 753,600,000 775.3 716,200,000 716.2 733.5 733,500,000                            
        other provisions
                  301,900,000 306.6 306.6 271.1  320.8 325,800,000 325.8 309.6                             
        provisions for contingencies
                  10,100,000 5.7 5.7 5.3  9.2 9,600,000 9.6 7.5                             
        dividends
                  29,100,000 0.1 0.1 0.1  42 23,500,000 23.5 49.4                             
        noncontrolling acquisition results
                  5,600,000 5.6 5.6                                   
        cumulative translation adjustments
                  -3,600,000 2.5  21.2 17,800,000 17.8 10.9                             
        consolidated balance sheet data
                                                       
        financial guarantee
                       195.2 204,300,000 204.3 219.5                             
        assets
                                                       
        temporary cash investments
                            1,060.6 1,143,800,000 1,143.8 953.8 953,800,000 1,180.6 810,100,000 1,076,505,000 1,076,505 771,494 810,100,000 978,126,000 1,185,745,000 1,185,745,000 1,003,676,000 521,816,000 521,816,000 543,144,000 876,622,000 555,795,000 1,240,613,000 1,240,613,000 1,066,766,000 888,982,000 821,515,000 574,395,000 396,958,000 
        deferred income taxes
                            63.3 105,100,000 105.1 106.6 106,600,000 96 154,300,000 105,376,000 105,376 154,285 154,300,000 100,887,000 87,050,000 87,050,000 140,606,000 130,999,000 130,999,000 116,510,000 126,201,000 116,510,000 114,579,000 114,579,000 111,705,000 111,705,000 125,077,000 121,376,000  
        total current assets
                            5,191.9 5,457,700,000 5,457.7 5,639.8  5,521.4  5,532,496,000 5,532,496 5,916,486  5,703,529,000 5,641,412,000 5,649,741,000 5,511,740,000 4,683,286,000 4,683,286,000 4,759,722,000 5,195,864,000 4,759,721,000 4,893,467,000 4,893,467,000 4,511,475,000 4,507,017,000 4,796,197,000 4,615,522,000  
        goodwill
                            14.5 14,500,000 14.5 14.5 14,500,000 14.5 14,500,000 14,497,000 14,497  14,500,000                 
        guarantee deposit
                            485.7 483,100,000 483.1 505.3                        
        other non-current assets
                            320.1 294,600,000 294.6 283.4                        
        total non-current assets
                            2,852.2 2,836,500,000 2,836.5 2,811.7  2,872.2  2,794,474,000                    
        liabilities and shareholders’ equity
                                               2,006,000      2,005,000  
        capital lease obligation
                            4,700,000 4.7 4.8 4,800,000 5,500,000 5,835,000 5,835 5,529 5,500,000 4,597,000 4,413,000  4,478,000 2,163,000 2,163,000 3,276,000   2,498,000  2,666,000 2,666,000 2,931,000   
        accrued taxes on income
                            15.1 16,000,000 16 13.6 13,600,000 14.7 5,800,000 12,410,000 12,410 5,795 5,800,000 16,939,000 1,875,000 1,875,000 14,055,000 12,049,000 12,049,000 6,848,000  6,848,000 14,823,000 14,823,000 11,721,000   37,122,000  
        contingencies
                            15.4 13,600,000 13.6 10.5 10,500,000 12.6 9,500,000 10,802,000 10,802 9,472 9,500,000 11,573,000 7,008,000 7,008,000 32,078,000 29,899,000 29,899,000 31,175,000  31,175,000 22,635,000 22,635,000 21,652,000 37,171,000 37,496,000 19,826,000  
        accrued dividends
                            85 116,900,000 116.9 119.6   859,000 859 857  2,036,000 540,000  23,279,000 23,043,000 23,043,000 35,555,000   47,025,000  106,000     
        other payables and accrued liabilities
                            473.7 474,900,000 474.9 454.4 454,400,000 412.9 565,400,000 412,198,000 412,198 452,365 565,400,000 378,326,000 365,754,000 466,593,000 388,839,000 364,071,000 450,196,000 431,401,000  433,291,000 388,244,000 388,244,000 401,421,000   405,965,000  
        total current liabilities
                            2,699.7 2,721,600,000 2,721.6 2,767.7  3.574  3,426,086,000 3,426,086 3,550,548  3,515,836,000 3,331,063,000 3,339,392,000 3,409,075,000 3,049,470,000 3,049,470,000 3,013,932,000  3,018,798,000 2,939,934,000 2,939,934,000 2,585,196,000 2,580,738,000 2,609,517,000 2,654,436,000  
        total non-current liabilities
                            2,829.5 3,118,100,000 3,118.1 3,255.2  2.489  2,648,932,000                    
        customer and commercial financings
                             10,100,000                          
        property, plant and equipament
                             743,900,000                          
        balance sheets
                                                       
        company shareholder’s equity
                               2,338.3  2.256                      
        interest own capital and dividends
                                119,600,000                       
        statutory capital
                                                       
        common shares
                                1,438,000,000  1,438,000,000    1,438,000,000                 
        special common share (r1 par value, 1 share authorized, issued and outstanding at
                                                       
        december 31, 2009 and 2008)
                                                       
        treasury shares, at cost - 16,800,000 shares
                                                       
        appropriated retained earnings
                                110,100,000  80,400,000    80,400,000   53,571,000              
        unappropriated retained earnings
                                949,900,000  862,600,000    862,600,000   743,696,000              
        accumulated other comprehensive income
                                24,100,000  12,100,000    12,100,000   14,950,000      3,744,000      -1,748,000  
        total company shareholders’ equity
                                2,338,300,000  2,209,300,000                     
        trade accounts receivable net
                                 464.7                      
        other noncurrent assets
                                 799.1  762,354,000 762,354 741,672  756,098,000 716,435,000  493,481,000 463,360,000 463,971,000 339,949,000   372,313,000  351,130,000 312,836,000 317,317,000   
        interest on capital and dividends
                                  900,000    900,000   540,000              
        special common share
                                                       
        total parent company shareholder’s equity
                                   2,183,642,000                    
        non controlling interest
                                   68,310,000                    
        shareholders’ equity*
                                   2,251,952,000                    
        trade accounts receivable,net
                                    424,689 438,083  331,151,000 354,650,000  303,982,000 258,112,000 251,599,000 272,153,000   465,275,000  476,203,000  787,227,000   
        noncurrent assets
                                                       
        total noncurrent assets
                                    2,794,474 2,727,429  2,443,721,000 2,224,704,000 2,416,113,000 2,591,181,000 2,443,063,000 2,443,063,000 2,450,678,000   2,439,115,000  2,387,880,000 2,392,338,000 2,228,623,000   
        long-term liabilities
                                                       
        total long-term liabilities
                                    2,648,932 2,814,128  2,447,164,000 2,216,904,000  2,709,037,000 2,136,166,000 2,136,166,000 2,258,274,000  2,358,708,000 2,563,929,000 2,563,929,000 2,576,897,000 2,581,355,000 2,861,235,000 2,610,980,000  
        minority interest
                                    68,310 69,962 70,000,000 72,668,000 68,709,000 68,709,000 58,784,000 59,525,000 59,525,000 63,914,000  63,914,000 51,374,000 51,374,000 50,259,000 50,259,000 46,110,000 46,775,000 21,443,000 
        non recourse and recourse debt
                                     137,678  115,314,000 105,636,000  367,843,000 356,299,000 356,299,000 388,380,000   376,596,000  317,390,000 312,932,000 321,322,000   
        treasury shares, at cost—16,800,000 shares
                                                       
        shareholders' equity:
                                       2,111,582,000 2,249,440,000  1,926,025,000 1,881,188,000 1,881,188,000           
        derived from the december 31,2007 audited financial statements
                                                       
        derived from unaudited quarterly financial information.
                                                       
        liabilities and shareholders' equity
                                         2,007,000              
        capital lease obligations
                                         4,413,000      2,388,000  2,498,000    2,753,000  
        noncurrent liabilities
                                                       
        total noncurrent liabilities
                                         2,408,313,000              
        statutory capital-
                                                       
        common
                                         1,438,007,000      1,434,406,000  1,429,713,000      
        treasury shares, at cost - 70,000 shares
                                         -784,000              
        total shareholders' equity
                                         2,249,440,000              
        noncurrent assets:
                                                       
        loans
                                           445,628,000 445,628,000 503,047,000   633,639,000 633,639,000 389,464,000     
        shareholders’ equity:
                                             1,874,281,000   1,777,345,000  1,687,003,000 1,687,003,000 1,507,958,000   
        long term assets
                                                       
        total long-term assets
                                              2,300,491,000 2,555,980,000  2,439,115,000    2,316,923,000  
        contributions from suppliers
                                                       
        preferred
                                                       
        additional paid-up capital
                                                     8,353,000  
        legal reserve
                                               13,797,000      126,711,000  
        appropriate retained earnings
                                               422,334,000        
        at december 31, 2005 preferred shares - without par value 1.000.000.000 shares authorized, 479,287,609 shares issued and outstanding
                                                       
        held for sale
                                                       
        preferred (without par value, 1,000,000,000 shares authorized;
                                                       
        475,797,420 shares issued and outstanding at december 31, 2004;
                                                       
        2005 – 479,287,609 shares)
                                                     882,627,000  
        common (without par value, 500,000,000 shares authorized;
                                                       
        242,544,447 shares issued and outstanding at december 31, 2004 and
                                                       
        2005)
                                                     298,397,000  
        special common share (r 1 par value, 1 share authorized, issued and
                                                       
        outstanding at december 31, 2004 and 2005)
                                                       
        weighted-averaged number of shares outstanding
                                                       
        common share – basic
                                                      242,544,000 
        preferred share – basic
                                                      474,994,000 
        common share – diluted
                                                      242,544,000 
        preferred share – diluted
                                                      479,217,000 
        balance sheet data
                                                       
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2024-03-31 2023-06-30 2018-03-31 2012-10-23 2012-07-30 2012-04-26 2011-11-03 2011-07-29 2011-05-02 2010-12-31 2010-09-30 2010-06-30 2010-04-29 2009-09-24 2009-06-30 2009-05-06 2008-05-07 2007-12-31 2007-05-31 2007-03-31 2007-03-23 2006-12-31 2006-11-16 2006-09-30 2006-06-30 2006-05-15 2006-03-31 
                                   
          operating activities
                                   
          profit for the year
                                   
          items not affecting cash
                                   
          depreciation of property, plant and equipment
        11 550.7                          
          recognition of government grants
         -2.7                          
          recognition of contribution from suppliers
        36 -108.9                          
          evex transaction
         1,211                          
          gain and loss on equity interest
         -7.3                          
          allowance for inventory obsolescence
         -146 1,400,000       7,000,000   7,000,000               
          fair value adjustment - financial assets
         -8.9                          
          12/31/2023
        2,023                           
          reversal (loss) for impairment of accounts receivable, customer financing and contract assets
         84.8                          
          gain on disposal of fixed assets
         209.6                          
          deferred income tax and social contribution
         -458.4 -12,300,000 5,599,867.8 -2,499,867.8 2,500,000 123.8 23,700,013.8 -13.8                   
          interest on loans
         1,006.7                          
          interest on securities
        20 -50.6                          
          equity in associates gains and losses
         -41.8                          
          monetary and foreign exchange variation
         -119.4                          
          miscellaneous provisions
         198.3                          
          non-controlling interest
         93.6                          
          other
        11  -2,100,000 11,000,007 -5,200,007 5,200,000 -7.8 3,399,991.3 8.7       -952,000 2,914,000 -527,000 -186,000  4,241,000 -24,907,000 -6,082,000 -8,063,000 8,358,000 8,358,000 
          changes in assets
                                   
          financial investments
         919.7 629,500,000                         
          derivative financial instruments
         -29.9 -700,000                         
          accounts receivable
         9.2                          
          customer financing
         -458.9                          
          contract assets
         390.7                          
          inventories
        -1,488.8 -309,900,000 -46,100,127.3 357,500,127.3 -357,500,000 -110.3 -132,699,628.1 -371.9  -454,300,000                 
          other assets
         81.9 -47,200,000 -36,099,942.3 7,299,942.3 -7,300,000 -42.8 -7,100,024.2 24.2  -46,000,000                 
          changes in liabilities
                                   
          trade accounts payable – forfaiting
         67.3                          
          accounts payable
         8.8                          
          paid income tax and social contribution
        25 -260.3                          
          paid interest
        158 -947.7                          
          contract liabilities
         2,334.5                          
          taxes payable
         189.4                          
          financial guarantees
        4,082 -81.5 -7,500,000                         
          unearned income
         -73.9 -16,800,000 -9,199,962.7 -59,200,037.3 59,200,000 2.9 2,799,999.9 0.1                   
          cash generated in operating activities
         3,840.9                          
          investing activities
                                   
          acquisitions of property, plant and equipment
        69 -701.9                          
          property, plant and equipment write-off
        238 28.3                          
          additions to intangible assets
        55 -617.2 -80,200,000 -57,499,945.4 64,599,945.4 -64,600,000 -59.5 -49,699,951.9 -48.1                   
          additions to investments in subsidiaries and affiliates
        6,115 -2                          
          disposal of investment
        571 784                          
          loans granted
        69                           
          dividends received
        238 4.5                          
          net cash generated (used) in investment activities
        278 -594.6                          
          financing activities
                                   
          proceeds from borrowings
        1,196 766.1 46,700,000 149,499,150.4 -549,399,150.4 549,400,000 694.5 594,199,559.3 440.7 30,000,000 264,900,000 103,900,000 30,000,000 1,886,200,000 127,963 175,201 171,683,000 1,375,498,000 112,983,000 50,622,000 -188,512,000 1,068,339,000 -338,450,000 -225,467,000 302,394,000 112,983,000 112,983,000 
          repayment of borrowings
        137 -4,872.1 -66,200,000 -224,299,390.5 240,699,390.5 -240,700,000 -503.4 -422,899,612.1 -387.9       -446,643            
          capital increase
                                   
          dividends and interest on shareholders' equity
                                   
          receipt in the offering of subsidiary shares
         1,030                          
          costs in the offering of subsidiary shares
         -237.3                          
          lease payments
        1,196 -60.9                          
          cash generated (used) in financing activities
         -3,374.2                          
          increase in cash and cash equivalents
        795 -128 16,800,000 -112,500,248.9 -86,399,751.1 86,400,000 83.2       84,000,000 868,963 -785,742            
          effects of exchange rate changes on cash and cash equivalents
         -659.2 -100,000                         
          cash and cash equivalents at the beginning of the year
        -8 10,260.5                          
          cash and cash equivalents at the end of the period
         9,473.3 1,287,500,000 1,572,998,314.5 -1,436,598,314.5 1,436,600,000 1,434.1 1,350,898,697.5 1,302.5                   
          direct controlled
                                   
          eleb equipamentos ltda.
                                   
          embraer aircraft holding, inc.
                                   
          embraer aviation international - eai
                                   
          embraer defesa e segurança participações s.a.
                                   
          embraer gpx ltda.
                                   
          embraer netherlands b.v.
                                   
          embraer netherlands finance b.v.
                                   
          embraer overseas ltd.
                                   
          embraer spain holding co. sl
                                   
          fundo de investimento em participações embraer ventures
                                   
          yaborã indústria aeronáutica s.a.
                                   
          indirect controlled
                                   
          airholding s.a.
                                   
          atech - negócios em tecnologias s.a.
                                   
          ecc insurance & financial company limited
                                   
          ecc investment switzerland ag
                                   
          embraer (china) aircraft technical services co. ltd.
                                   
          embraer aircraft customer services, llc
                                   
          embraer aircraft maintenance services, llc
                                   
          embraer asia pacific pte. ltd.
                                   
          embraer aviation europe
                                   
          embraer business innovation center, inc.
                                   
          embraer cae training services (nl) b.v.
                                   
          embraer cae training services (uk) limited
                                   
          embraer cae training services, llc
                                   
          embraer defense and security, inc.
                                   
          embraer engineering & technology center usa, inc.
                                   
          embraer europe sarl
                                   
          embraer executive aircraft, inc.
                                   
          embraer executive jet services, llc
                                   
          embraer finance ltd.
                                   
          embraer portugal s.a.
                                   
          eve holding, inc.
                                   
          eve soluções de mobilidade aérea urbana ltda.
                                   
          eve uam, llc.
                                   
          ezs informática s.a.
                                   
          id it tecnologia da informação ltda.
                                   
          ogma - indústria aeronáutica de portugal s.a.
                                   
          tempest security intelligence limited
                                   
          tempest serviços de informática s.a.
                                   
          visiona internacional b.v.
                                   
          visiona tecnologia espacial s.a.
                                   
          joint operations
                                   
          ez air interior limited
                                   
          loss for the period
         -1,047.2                          
          amortization of intangible assets
         535.1                          
          fair value adjustment, inventory, property, plant and equipment and intangible assets
         58.9                          
          stock-based compensation
         15.5                          
          mark-to-market of residual value guarantees
                                   
          trade accounts payable
         1,207.6 69,000,000 -178,100,035.8   -54 158,999,853.2 146.8 57,900,000 -5,700,000 41,000,000 57,900,000 179,900,000              
          non-recourse and recourse debt
          3,000,000 -3,199,998.2 2,599,998.2 -2,600,000 -0.7 -1,799,997.5 -2.5                   
          contribution from suppliers
          67,000,000 -7,399,990.7 7,999,990.7 -8,000,000 60.2 -4,999,993 -7                   
          subsidiary acquisition – net cash acquired
                                   
          changes in the ownership in subsidiaries and affiliates
                                   
          restricted cash reserved for construction of assets
             -1,300,000                      
          dividends and interest on shareholders’ equity
                                   
          acquisition of own shares
                                   
          net income
          -10,200,000 65,299,945.5 -63,599,945.5 63,600,000 4.3 98,399,893.7 106.3 38,300,000 25,400,000 36,000,000 38,300,000 396,200,000 93,737 -23,393 84,956,000 294,395,000 26,195,000 26,195,000 -141,274,000 328,788,000  -77,744,000 73,839,000 65,258,000 65,258,000 
          items not affecting cash and cash equivalents
                                   
          depreciation
          42,900,000 34,299,969.8 -32,799,969.8 32,800,000 29.2 24,699,965 35 22,500,000 4,500,000 -9,600,000 22,500,000 70,500,000 1,783 19,685            
          government grants amortization
          -800,000                         
          amortization
          24,200,000 30,799,962.4 -29,599,962.4 29,600,000 34.9 22,899,973 27                   
          amortization contribution from suppliers
          -4,000,000                         
          provision for adjustment to market value
          10,300,000                         
          provision (reversal) allowance for doubtful accounts
          -3,700,000                         
          gains on fixed assets disposal
          3,800,000                         
          accrued interest
          6,100,000 5,600,002.3 -3,700,002.3 3,700,000 2.9 399,998.4 1.6      4,665 2,273            
          interest over marketable securities
          -7,800,000                         
          equity in the losses of associates
          300,000                         
          share-based remuneration
          100,000                         
          foreign exchange gain
          7,000,000 -4,300,000.3 -199,999.7 200,000 -5.3   3,100,000 -4,900,000 -900,000 3,100,000               
          residual value guarantee
          2,300,000 -5,000,016.4 -11,099,983.6 11,100,000 1.3 -800,000.1 0.1                   
          provision for voluntary redundancy scheme
                                   
          collateralized accounts receivable and accounts receivable
          -139,600,000 -11,499,943.4 -9,200,056.6 9,200,000                      
          customer and commercial financing
          600,000 800,005.2 9,699,994.8 -9,700,000 -66.8 2,599,985.8 14.2                   
          other payables
          35,500,000 56,199,983.7                        
          advances from customers
          -7,400,000 35,600,083.1 -41,300,083.1 41,300,000 93.3 99,894.3 105.7 61,900,000   61,900,000 431,100,000              
          taxes and payroll charges payable
          -30,600,000 59,499,997 30,200,003 -30,200,000 -3.5 1,600,006 -6                   
          other provisions
          16,100,000                         
          net cash generated (used) by operating activities
          318,500,000                         
          additions to property, plant and equipment
          -39,700,000 -50,199,924.5 39,599,924.5 -39,600,000 -72.8 -92,899,908.2 -91.8       -30,887 -45,315,000 -160,132,000 -19,118,000 -44,833,000  -73,479,000 35,524,000 16,405,000 -14,569,000 -19,118,000 -19,118,000 
          proceeds from sale of property, plant and equipment
              0.1 -100,000.2 0.2  29,000,000   2,000,000 61,880 120            
          investments in associates
          -1,000,000                         
          proceeds from held to maturity securities
          -145,500,000                         
          loans
                                   
          net cash from investing activities
          -266,400,000   -103,800,000  -192,299,861.7 -138.3  60,000,000   168,900,000   644,000 -256,156,000  -590,000  -179,428,000 33,596,000   -534,186,000 -534,186,000 
          dividends and interest on own capital
          -18,200,000 -32,799,996.7   -45.4 -27,499,920.3 -79.7                   
          proceeds from stock options exercised
          2,400,000                         
          net cash generated (used) by financing activities
          -35,300,000                         
          cash and cash equivalents at the beginning of the period
          1,270,800,000 1,685,498,563.4 -1,350,198,563.4 1,350,200,000 1,350.9 1,302,498,606.9 1,393.1                   
          derived from unaudited financial statements.
                                   
          * restated
                                   
          accounts payable for penalties
                                   
          provision for vrs
                                   
          allowance (reversal) for inventory obsolescence
           5,300,003.4 5,899,996.6 -5,900,000 -3.7 -3,500,010 10  3,600,000   12,700,000 -6,294 8,762            
          provision (reversal) for adjustment to market value
                                   
          net cash generated by (used in) operating activities
                                   
          net cash generated by financing activities
                                   
          include unrealized
                                   
          inventory and ppe provision for adjustment to realizable value
                                   
          gains on disposal of investments
                                   
          provision for doubtful accounts
                                   
          financial guarantee
           -54,599,973.2 15,999,973.2 -16,000,000 -7 -8,399,984.7 -15.3                   
          bonds and securities
                                   
          treasury shares
           2,099,991.5 -1,299,991.5 1,300,000                      
          derived from audited annual financial statements.
                                   
          cash and cash equivalents
                                   
          total cash position
                                   
          loans short-term
                                   
          loans long-term
                                   
          total loans position
                                   
          net cash (debt)*
                                   
          * net cash (debt) = cash and cash equivalents + financial investments short-term and
                                   
          long term - loans short-term and long-term
                                   
          derived from unaudited financial information.
                                   
          derived from audited financial information.
                                   
          in millions of u.s.dollars
                                   
          ifrs
                                   
          net additions to property, plant and equipment
                                   
          free cash flow
                                   
          net of financial investments and unrealized gains
                                   
          inventory reserves
                                   
          changes in assets:
                                   
          changes in liabilities:
                                   
          provisions
                                   
          net cash generated by operating activities
           109,699,810.9   161.1                     
          business acquisitions, net of cash acquired
                                   
          acquisition of non controlling interest
                                   
          net cash (used in) generated by financing activities
             292,600,000 145.7 143,800,026.9 -26.9                   
          financial investments adjustment
                                   
          financial investments and unrealized gain
                                   
          provision for market value
           1,499,998.7 -2,999,998.7 3,000,000                      
          equity in the earnings of associates
           200,000.2 -200,000.2 200,000                      
          stock option
           1,699,998 -2,599,998 2,600,000 2.3 2,599,997.3 2.7                   
          changes in assets and liabilities:
                       -316,017 336,655,000  -618,353,000 -71,762,000    539,064,000 -42,508,000 -126,505,000 -126,505,000 
          financial assets
           136,299,975.2 77,700,024.8 -77,700,000 126 -36,700,029.5 29.5                   
          other provisions and provisions for contingencies
           15,400,001.9 -26,100,001.9 26,100,000                      
          investments in held to maturity securities
           599,997.8 -1,699,997.8 1,700,000 2.6 1,399,998.6 1.4                   
          net cash (used in) investing activities
           -105,899,872.2   -135.6                     
          changes in interest of subsidiaries and associates
             -17,400,000                      
          effects of exchange rate changes on cash
           -10,799,942.3 -26,500,057.7 26,500,000 -88 18,499,987.5 12.5                   
          trade accounts payable and other payables
             95,700,000                      
          net cash (used in) generated by operating activities
             -128,900,000   62.1                   
          equity in the earnings of subsidiaries
                                   
          provisions and contingencies
              15.4 -8,400,033.5 33.5                   
          financial assets adjustment financial investments adjustment
                                   
          market value adjustment provision
              -0.9 -300,001.2 1.2                   
          accounts receivable and collateralized
              -32.6                     
          additions to subsidiary investments
              -6                     
          business acquisitions
                                   
          decrease in cash and cash equivalents
               48,400,090.6 -90.6                   
          foreing exchange gain
                -11.5                   
          collateralized accounts receivable
                -56.5                   
          financial assets adjustment
                                   
          other assets adjustment
                                   
          unrealized gain (losses) on financial assets.
                                   
          cash flows from operating activities
                                   
          adjustments to reconcile net income to cash from operating activities:
                                   
          allowance for doubtful accounts
                 1,900,000 1,200,000 600,000 1,900,000 2,100,000 686 940 -127,000 5,091,000 3,542,000 1,335,000  5,034,000  1,660,000    
          gain on property, plant and equipment disposals
                 200,000   200,000  500,864 1,136            
          deferred income taxes
                 24,000,000 -82,200,000 21,500,000 24,000,000 29,500,000  38,626 -37,047,000 -48,373,000 1,211,000 -10,829,000  -23,130,000  4,006,000 16,618,000 1,211,000 1,211,000 
          unrealized/realized losses (gains) on trading securities
                                   
          trade accounts receivable and customer and commercial financing
                  139,500,000                 
          deferred revenue
                 5,800,000 5,100,000 -900,000 5,800,000               
          other payables and accrued liabilities
                     106,500,000              
          accrued taxes on income
                 2,400,000   2,400,000 122,000,000              
          contingencies
                 6,400,000 3,400,000 -2,400,000 6,400,000               
          net cash from operating activities
                  -274,900,000   321,800,000   394,373,000       470,564,000 37,829,000 -26,536,000 -26,536,000 
          capital expenditures
                      -45,315,000       16,405,000 -14,569,000 -19,118,000 -19,118,000 
          free cash flows
                  -274,900,000   321,800,000   349,058,000       486,969,000 23,260,000 -45,654,000 -45,654,000 
          cash flows from investing activities
                                   
          court-mandated escrow deposits, net of withdrawals
                       30,059            
          purchase and sales of temporary cash investments
                  25,600,000     -259,837            
          others
                     2,500,000  48          341,000 341,000 
          cash flows from financing activities
                                   
          payments of capital lease obligations
                       -1,430 -568,000           
          net cash from financing activities
                        -396,517,000 157,435,000 -231,992,000 -177,140,000  -346,217,000 -8,616,000 -240,607,000 423,713,000 -231,992,000 -231,992,000 
          effect of exchange rate changes on cash
                  7,400,000                 
          cash and cash equivalents, at beginning of year
                 1,592,400,000   1,592,400,000 1,307,400,000 -785,742 1,391,370            
          cash and cash equivalents, at end of period
                 1,138,400,000 -70,800,000 -23,200,000 1,138,400,000    1,268,493,000  627,175,000 919,122,000 -8,376,000  415,554,000 415,554,000 9,910,000 804,959,000 804,959,000 
          from operating activities:
                                   
          unrealized/realized losses on trading securities
                                   
          restricted cash
                     12,100,000              
          dividends and/or interest on capital paid
                        -45,224,000 -130,887,000 -42,705,000 -33,680,000  -106,112,000 -4,004,000 -46,709,000 37,755,000 -42,705,000 -42,705,000 
          cash and cash equivalents, at beginning of period
                  -23,200,000      1,307,366,000  1,339,159,000 1,209,396,000 -108,736,000  -524,290,000 187,694,000 -913,329,000 1,540,504,000 1,540,504,000 
          net cash generated by (used) in operating activities
                                   
          financial assets adjusted
                                   
          other assets adjusted
                                   
          financial assets is adjusted by the unrealized gain (losses) on financial assets.
                                   
          provision for losses, property plant and equipment
                        -366,000           
          equity in earnings of affiliates
                                   
          acquisition of own shares for treasury
                                   
          adjustments to reconcile net income to net cash from operating activities
                                   
          loss on property, plant and equipment disposals
                     500,000              
          deferred income tax expense
                                   
          unrealized/realized (gains) on trading securities
                                   
          acquisition of noncontrolling interest
                                   
          proceeds from issuance of shares
                          -1,011,000         
          dividends and/or interest on own capital paid
                                   
          cash and cash equivalents, at end of year
                     1,391,400,000  605,628            
          unrealized losses on trading securities
                                   
          changes in assets and liabilities
                                   
          temporary cash investments
                                   
          purchases and sales of temporary cash investments
                     410,700,000              
          acquisition of investments
                                   
          acquisition of non-controlling interest
                                   
          effect of exchange rate changes on cash and cash equivalents
                      110,489 11,728 11,901,000 117,569,000 57,169,000 -34,065,000  57,772,000  564,000 -57,581,000 57,169,000 57,169,000 
          benefit from losses, property plant and equipment
                                   
          equity in earnings (losses) of affiliates
                                   
          adjustments to reconcile net income to cash
                                   
          provision for losses,property plant and equipment
                       -18            
          minority interest
                       107 1,146,000  1,244,000       -52,000  
          foreign exchange gain (loss)
                       3,184            
          net cash from (used in) operating activities
                       -264,713            
          cash flow from investing activities
                                   
          customers and commercial finnancing - net additions
                       612            
          net cash from (used in) investing activities
                       -259,885            
          cash flow from financing activities
                                   
          net cash from (used in) financing activities
                       -272,872            
          increase (decrease) in cash and cash equivalents
                        -38,873,000           
          supplemental disclosure of cash flow information
                                   
          unrealized losses (gains) on trading securities
                                   
          adjustments to reconcile net income to net cash
                                   
          provided by (used in) operating activities:
                                   
          depreciation and amortization
                        16,110,000  25,158,000 18,384,000 -47,158,000  -27,027,000 -1,869,000 -8,953,000 25,158,000 25,158,000 
          write down (reversal) for inventory obsolescence
                        -6,909,000           
          foreign exchange loss
                        4,143,000           
          loss (gain) on permanent assets disposals
                        529,000  -193,000         
          equity in earnings from affiliates
                        -156,000           
          accrued interest in excess of interest paid
                        -3,609,000  5,975,000 4,263,000  -6,444,000  11,802,000    
          escrow deposits, net of withdrawals
                        -4,109,000           
          acquisition of investiments
                                   
          sales of property, plant and equipment
                        150,000  341,000 388,000    -18,975,000    
          net cash (used by) investing activities
                        -48,630,000           
          repayment of loans
                        -339,433,000  -301,259,000 -193,760,000  -1,311,770,000 333,718,000 32,458,000 82,820,000 -301,259,000 -301,259,000 
          treasury stocks
                        -182,975,000           
          derived from unaudited quarterly financial information.
                                   
          provided by(used in) operating activities:
                                   
          provision for inventory obsolescence
                          231,000         
          exchange loss
                          -1,287,000 -5,757,000  5,958,000  -6,033,000 5,460,000 -1,287,000  
          equity in income from affiliates
                          33,000 -34,000        
          minority interests
                          52,000 -1,244,000    -1,409,000    
          provision for losses investments
                                   
          escrow deposits
                           7,506,000        
          additions to investments
                                   
          actions in cash position
                                   
          payments on capital lease obligations
                           -322,000    546,000 -690,000 -1,011,000 -1,011,000 
          net increase in cash and cash equivalents
                          -711,984,000 -290,274,000  -545,317,000 939,842,000 227,860,000 923,239,000 -735,545,000 -735,545,000 
          adjustments to reconcile net income to net cash from operating activities:
                                   
          write down of investments
                                   
          net cash provided (used) in operating activities
                          -518,384,000 -41,540,000        
          net cash (used) by investing activities
                                   
          provided by operating activities:
                                   
          benefit from inventory obsolescence
                           -3,105,000        
          gain on permanent assets disposals
                           1,200,000        
          página 14 de 15
                                   
          gross sales
                          845,436,000         
          domestic market
                          27,831,000       33,880,000  
          foreign market
                          817,605,000       775,370,000  
          sales deductions
                          -2,055,000       -975,000  
          net sales
                          843,381,000       808,275,000  
          cost of sales and services
                          -627,043,000       -576,358,000  
          gross profit
                          216,337,000       231,917,000  
          operating expenses
                                   
          selling expenses
                          -114,064,000       -78,307,000  
          research and development
                          -44,222,000       -49,729,000  
          general and administrative
                          -45,357,000       -51,036,000  
          employee profit sharing
                          -5,292,000         
          other operating expense
                          -2,820,000       -16,386,000  
          income from operations
                          4,583,000       36,459,000  
          interest(expense) income
                          20,925,000         
          foreign exchange gain ,net
                          -5,757,000       1,287,000  
          other non-operating income
                                 3,575,000  
          income before income taxes
                          19,750,000       73,344,000  
          income tax benefit
                          5,167,000       -8,034,000  
          income before minority interest
                          24,918,000       65,310,000  
          earnings per share
                                   
          basic
                                   
          common
                          35.4       84.8  
          preferred
                                 93.3  
          diluted
                                   
          weighted average shares
                                   
          earnings per share - ads basic
                          141.6         
          earnings per share - ads diluted
                          141.2       371.3  
          provision for contingencies
                          1,271,000       1,271,000  
          net cash provided (used) by investing activities
                          -18,777,000 -37,529,000        
          benefit from contingencies
                                  1,271,000 
          benefit from losses investments
                                   
          net cash used in operating activities
                                   
          additions investments
                                   
          net cash provided by investing activities
                                   
          deferred income and social contribution tax
                                   
          customer advances
                                   
          proceeds from property, plant and equipment disposals and other
                                   
          proceeds from the issuance of shares
                                   
          effect of foreign exchange rate changes on cash and cash equivalents
                                   
          net decrease in cash and cash equivalents
                                   
          write down for inventory obsolescence
                                   
          equity in loss from affiliates
                                   
          trade accounts receivable and customer and commercial financing
                                   
          proceeds from sales of property, plant and equipment
                                   
          please see note 36.
                                   
          net income for the period
                                   
          contribution from supliers
                                   
          customers advances
                                   
          net cash from (used) in operating activities
                                   
          net financial income
                                   
          foreign exchange gain (loss) ,net
                                   
          income tax expense
                                   
          weighted-average shares
                                   
          loss on permanent assets disposals
                                   
          interestincome
                                 32,023,000  
          earnings per share -ads basic
                                 373  
          cash flow from operating activities
                                   
          temporary cash investments held for trading
                                 -515,409,000 -515,409,000 
          exchange loss(gain)
                                  -1,287,000 
          equity in income
                                   
          escrow deposits for pending business acquisition