| Total assets | 73,219.72a | 52,201.23a |
| Current assets | 40,326.91a | 29,316.12a |
| Cash and cash equivalents | 9,678.72a | 7,887.31a |
| Financial investments | 3,961.47a | 2,525.76a |
| Financial investments measured at fair value through profit or loss | 844.94a | 820.65a |
| Securities designated at fair value | 844.94a | 820.65a |
| Financial investments measured at fair value through other comprehensive income | 209.12a | 1,696.93a |
| Financial investments measured at amortized cost | 2,907.4a | 8.19a |
| Receivables | 2,061.89a | 1,094.03a |
| Customers | 2,061.89a | 1,094.03a |
| Accounts receivable | 1,986.22a | 1,053.61a |
| Customer financing | 75.67a | 40.42a |
| Inventories | 18,181.14a | 12,761.73a |
| Taxes recoverable | 1,421.88a | 1,335.84a |
| Current taxes recoverable | 1,421.88a | 1,335.84a |
| Prepaid expenses | 363.72a | 241.18a |
| Other current assets | 4,658.09a | 3,470.26a |
| Other | 4,658.09a | 3,470.26a |
| Other assets | 720.54a | 920.86a |
| Derivative financial instruments | 81.78a | 84.84a |
| Contract assets | 3,855.77a | 2,464.56a |
| Non-current assets | 32,892.81a | 22,885.11a |
| Long-term assets | 4,454.04a | 2,465.08a |
| Financial investments measured at fair value through profit or loss | 848.93a | 0a |
| Securities designated at fair value | 848.93a | 0a |
| Financial investments measured at fair value through other comprehensive income | 430.23a | 0a |
| Financial investments measured at amortized cost | 877.54a | 823.25a |
| Receivables | 137.25a | 279.54a |
| Customers | 12.48a | 16.35a |
| Customer financing | 124.77a | 263.2a |
| Deferred taxes | 1,077.57a | 666.57a |
| Deferred income tax and social contribution | 1,077.57a | 666.57a |
| Prepaid expenses | 110.5a | 80.99a |
| Other non-current assets | 972.02a | 614.72a |
| Taxes recoverable | 376.18a | 245.51a |
| Other assets | 587.36a | 357.68a |
| Contract assets | 8.49a | 11.54a |
| Investments | 270.61a | 136.44a |
| Equity interests | 270.61a | 136.44a |
| Investments in associates | 270.61a | 136.44a |
| Property, plant and equipment | 12,669.53a | 8,998.62a |
| Property, plant and equipment in operation | 12,021.11a | 8,572.64a |
| Contract liabilities | 4,465.67a | 3,010.65a |
| Lease liability | 573.43a | 397.84a |
| Income tax and social contribution | 19.93a | 24.88a |
| Deferred taxes | 2,788.09a | 1,475.26a |
| Deferred income tax and social contribution | 2,788.09a | 1,475.26a |
| Provisions | 1,261.22a | 840.17a |
| Tax, social security, labor and civil provisions | 407.23a | 474.29a |
| Tax provisions | 50.61a | 100.25a |
| Social security and labor provisions | 150.54a | 140.73a |
| Provisions for employee benefits | 205.26a | 232.29a |
| Civil provisions | 0.82a | 1.02a |
| Other provisions | 853.99a | 365.88a |
| Warranty provisions | 333.4a | 222.95a |
| Provision for third-party materials | 274.61a | 138.3a |
| Others | 245.97a | 4.63a |
| Income and revenues to appropriate | 79.45a | 85.89a |
| Revenues to appropriate | 79.45a | 85.89a |
| Deferred revenue | 79.45a | 85.89a |
| Consolidated shareholders' equity | 20,710.91a | 14,714.23a |
| Capital stock | 5,159.62a | 5,159.62a |
| Capital reserves | 750.98a | 474.16a |
| Treasury shares | -87.1a | -87.1a |
| Share-based compensation | 139.96a | 116.38a |
| Result from transactions with non-controlling shareholders | 698.12a | 444.88a |
| Profit reserves | 274.35a | 0a |
| Legal reserve | 16.29a | 0a |
| Investment subsidy | 103.78a | 0a |
| Reserves for investments and working capital | 154.29a | 0a |
| Retained earnings/accumulated losses | 0a | -1,593.07a |
| Equity valuation adjustments | 12,860.26a | 9,449.61a |
| Loss with post-employment benefits | -82.45a | -114.11a |
| Cumulative translation adjustments | 13,021.41a | 9,511.43a |
| Financial instruments | -78.7a | 52.29a |
| Noncontrolling interests | 1,665.7a | 1,223.92a |