SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

FORM 6-K/A

 

Report of Foreign Private Issuer
Pursuant to Rule 13a-16 or 15d-16 of the

Securities Exchange Act of 1934

 

For the month of November, 2023

 

Commission File Number 1-34129

 


 

CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRÁS

(Exact name of registrant as specified in its charter)




BRAZILIAN ELECTRIC POWER COMPANY

(Translation of Registrant's name into English)




Rua da Quitanda, 196 – 24th floor,
Centro, CEP 20091-005,
Rio de Janeiro, RJ, Brazil

(Address of principal executive office)



Indicate by check mark whether the registrant files or will file annual reports under cover Form 20-F or Form 40-F. 

Form 20-F ___X___ Form 40-F _______

Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.

Yes _______ No___X____

 
 

 

 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
BALANCE SHEET AS OF SEPTEMBER 30, 2023
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                 
ASSET                                
                                 
CURRENT         23,096,876         23,645,084           7,872,843           6,840,174           2,732,336                        -              6,152,233         58,035,080
Financial Asset - Itaipu (Parent Company)                        -                           -                           -                           -                           -                               -                           -   
Restricted cash               479,847               194,802                        -                           -                           -                               -                  674,649
Accounts Receivable, net          10,563,580            7,645,734               935,639            1,850,865                   9,084                        (101)          21,005,003
Customers (Consumers and resellers)                         1            2,027,126            1,055,612            1,798,586               465,085                     89,003            5,257,407
Financing and Loans - principal            1,148,154                        -                           -                           -                           -                      819,684               328,470
Financing and Loans - charges                        -                           -                           -                           -                           -                               -                           -   
Marketable Securities            2,548,017            5,994,564               354,041               266,028            1,048,204                   (60,496)          10,271,350
Dividends Receivable (Remuneration of shareholdings)            4,667,849                 88,586                 46,953                       72                        -                   4,431,441               372,019
Deferred Fiscal Assets (Tax and Contributions)            1,251,706               108,568               114,213               165,430                   6,251                     (5,182)            1,651,350
Income Tax and Social Contribution               896,173            1,455,866               450,179               141,294                        -                        (3,480)            2,946,992
Derivative Financial Instruments                        -                           -                           -                  378,695                        -                               -                  378,695
Reimbursement Rights            1,003,612                        -                           -                    26,449                 13,220                            -               1,043,281
Guarantees and Linked Deposits                        -                  296,336                 27,342                        -                      7,100                   330,778                        -   
Inventory                     213               148,169               128,008               138,326                 38,142                            -                  452,858
Amounts Receivable Law 12,783/2013                        -                           -                           -                           -                           -                               -                           -   
Nuclear Fuel Inventory                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets - Allowed Annual Revenue (Transmission)                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets - Indemnifiable concessions (Transmission)                        -                  613,959               632,085               492,034               431,848                2,169,926                        -   
Contractual Assets - RBSE (Transmission)                        -               4,666,243            2,874,168            1,352,365               565,431              (2,169,926)          11,628,133
Contractual Assets - RBSE                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets - Indemnifiable concessions (Generation)                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets (Parcel A - CVA)                        -                           -                           -                           -                           -                               -                           -   
Hydrological Risk                        -                           -                           -                           -                           -                               -                           -   
Others               315,754               405,125            1,254,603               168,540                 92,187                   489,090            1,747,119
                                 
Assets held for sale               221,970                         6                        -                    61,490                 55,784                     61,496               277,754
                                 
NON-CURRENT       147,400,752         76,230,735         54,307,807         52,736,280         12,908,331                        -          124,811,976       218,771,929
                                 
LONG-TERM RECEIVABLES         14,255,484         24,240,940         16,692,022         10,964,933           7,853,554                        -              8,084,096         65,922,837
Financial Asset - Itaipu (Parent Company)                        -                           -                           -                           -                           -                               -                           -   
Receivables - ENBPAR (parent company)                        -                           -                           -                           -                           -                               -                           -   
Restricted cash                        -               1,171,672               615,297                        -                           -                               -               1,786,969
Customers (Consumers and resellers)                        -                  214,747                        -                  451,968                        -                               -                  666,715
Financing and Loans - principal            6,845,134                        -                           -                           -                           -                   6,751,395                 93,739
Marketable Securities               427,170               291,082                     240               125,776                        -                               -                  844,268
Deferred Fiscal Assets (Tax and Contributions)                   4,582                       94               222,430               238,862                        -                               -                  465,968
Income Tax and Social Contribution                        -               2,077,735                        -                           -               1,424,695                            -               3,502,430
Derivative Financial Instruments                        -                           -                           -                    92,419                   2,520                            -                    94,939
Reimbursement Rights            1,501,845                        -                           -                    59,511                 80,367                            -               1,641,723
Guarantees and Linked Deposits            3,911,967            1,221,763               574,672               550,867               640,999                            -               6,900,268
Rights with Revitalization of Basins                        -                           -                           -                           -                           -                               -                           -   
Nuclear Fuel Inventory                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets - Allowed Annual Revenue (Transmission)                        -                           -               7,082,216            3,591,219            3,762,130             (34,444,844)          48,880,409
Contractual Assets - Indemnifiable concessions (Transmission)                        -               6,741,328               709,313            2,333,985               534,987              10,319,613                        -   
Contractual Assets - RBSE (Transmission)                        -             12,317,080            7,416,935            3,010,839            1,380,377              24,125,231                        -   
Contractual Assets - RBSE                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets - Indemnifiable concessions (Generation)                        -                           -                           -                           -                           -                               -                           -   
Advances for equity interest                        -                           -                           -                           -                           -                               -                           -   
Contractual Assets (Parcel A - CVA)                        -                           -                           -                           -                           -                               -                           -   
Hydrological Risk                        -                           -                           -                           -                           -                               -                           -   
Others            1,564,786               205,439                 70,919               509,487                 27,479                1,332,701            1,045,409
                                 
INVESTMENTS       132,851,203           5,508,427           5,696,412           5,473,086           2,086,114                        -          116,634,986         34,980,256
Assessed by equity method        131,413,591            5,500,813            5,679,302            5,473,086            2,078,648            116,657,796          33,487,644
Held at fair value            1,437,612                        -                           -                           -                           -                      (55,000)            1,492,612
Evaluated at acquisition cost                        -                      7,614                     228                        -                      7,466                     15,308                        -   
Other Investments                        -                           -                    16,882                        -                           -                        16,882                        -   
                                 
FIXED ASSETS              205,947         24,247,013           3,316,682           8,352,273           2,752,690                    92,894         38,781,711
                                 
INTANGIBLE ASSETS                88,118         22,234,355         28,602,691         27,945,988              215,973                        -                           -            79,087,125
                                 
TOTAL ASSETS       170,497,628         99,875,819         62,180,650         59,576,454         15,640,667                        -          130,964,209       276,807,009

 

 

CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
BALANCE SHEET AS OF SEPTEMBER 30, 2023
(in thousands of Brazilian Reais)
                                 
 LIABILITIES AND SHAREHOLDERS' EQUITY                                 
                                 
CURRENT         18,273,698           8,734,423           3,313,357           5,180,572           1,557,473                        -              6,147,244         30,912,279
Financial Liabilities - Itaipu (Parent Company)                        -                           -                           -                           -                           -                               -                           -   
Compulsory loan (Parent company)                        -                           -                           -                           -                           -                               -                           -   
Global Reversal Reserve - RGR (Company)                        -                           -                           -                           -                           -                               -                           -   
Suppliers                 95,511            1,285,453               367,632               642,971               234,358                   112,487            2,513,438
Financing and loans - principal, charges and debentures          12,203,346            2,767,914               171,160               851,004               652,175                   707,797          15,937,802
Charges            1,846,786                        -                           -                           -                           -                               -               1,846,786
Debentures            1,288,856                        -                           -                           -                           -                               -               1,288,856
Taxes and social contributions               379,739               211,781               123,127               203,523                 40,503                   (10,667)               969,340
Income tax and social security contribution                        -                           -                           -                    98,880                   9,719                            -                  108,599
Derivative Financial Instruments                        -                           -                           -                           -                           -                               -                           -   
Reimbursement obligations                 14,961                        -                           -                           -                           -                               -                    14,961
Advances from customers (Advance sale of energy)                   3,513                 46,421                        -                  109,398                        -                               -                  159,332
Remuneration to shareholders (dividends payable)                 41,815            2,974,958               696,069               742,182                         1                4,407,071                 47,954
Estimated obligations               169,473               368,239               422,021               406,081               202,560                        (331)            1,568,705
Provisions for litigation             2,144,209                 62,413                        -                           -                  333,974                            -               2,540,596
Post-employment benefit                        -                    12,281               268,818                        -                    21,135                            -                  302,234
Obligations with CDE                        -                  348,154               506,152               356,284                        -                    (895,282)            2,105,872
Obligations with revitalization with Watersheds                        -                  235,331               358,113               301,838                        -                      895,282                        -   
Leasing - Principal                 10,930                 22,425                       41               202,205                   6,411                     13,859               228,153
Leasing - Interest                        -                    (8,083)                        -                    (2,469)                 (3,307)                   (13,859)                        -   
Onerous Contracts                        -                           -                           -                           -                           -                               -                           -   
Concessions payable - Use of the public good                        -                    30,987                        -                    14,881                   3,716                     49,584                        -   
Sectoral charges                        -                  149,966               372,048               348,865                 36,290                            -                  907,169
Regulatory Liabilities (Portion A - CVA)                        -                           -                           -                           -                           -                               -                           -   
Others                 74,559               226,183                 28,176               904,929                 19,938                   881,303               372,482
                                 
Held for sale                        -                           -                           -                           -                           -                               -                           -   
                                 
NON-CURRENT         39,105,815         46,928,003         26,460,772         23,385,544           5,130,671                        -              8,289,871       132,720,934
Remuneration to shareholders (dividends payable)    -                       -                         -                         -                         -                             -                         -   
Compulsory loan (Parent company)    -                       -                         -                         -                         -                             -                         -   
-                      -                         -                         -                         -                         -                             -                         -   
Global Reversal Reserve - RGR (Company)    -                       -                         -                         -                         -                             -                         -   
Suppliers    -                       -                         -                         -                         -                             -                         -   
Financing and loans - principal, charges and debentures        19,410,131        28,120,795          2,890,280          8,095,136          2,832,362              6,775,236        54,573,468
Debentures                      -                         -                         -                         -                         -                             -                         -   
Taxes and social contributions                      -                169,680                      -                436,857                      -                             -                606,537
Income tax and social security contribution             342,968          3,843,910             782,977             482,279                      -                      (3,964)          5,456,098
Derivative Financial Instruments             478,821                      -                         -                         -                         -                             -                478,821
Reimbursement obligations                      -                         -                         -                         -                         -                             -                         -   
Advances from customers (Advance sale of energy)                      -                  96,969                      -                    7,349                      -                             -                104,318
Estimated obligations                      -                    4,697                      -                         -                         -                        4,697                      -   
Provisions for litigation         17,339,486          3,001,755          3,392,181          1,092,264          1,483,279                          -           26,308,965
Provision for unsecured liabilities in investees                      -                         -                         -                         -                         -                             -                         -   
Post-employment benefit             665,491             121,742          3,460,921               61,073             500,465                          -             4,809,692
Obligations with CDE                      -             8,855,126        12,873,716          9,061,903                      -               (5,632,767)        36,423,512
Obligations with revitalization with Watersheds                      -             1,480,613          2,253,107          1,899,047                      -                 5,632,767                      -   
Leasing - Principal               27,693             186,280                 1,948             149,337               46,867                   40,839             371,286
Leasing - Interest                      -                (23,355)                      -                  (2,152)             (15,332)                 (40,839)                      -   
Onerous Contracts                      -                         -                  90,499                      -                173,923                   55,323             209,099
Concessions payable - Use of the public good                      -                332,005                      -                175,148               45,303                          -                552,456
Sector Charges (regulatory fees)                      -                187,466             220,330               14,447               20,285                          -                442,528
Obligations to demob. of assets (Discount of nucl. plants)                      -                         -                         -                         -                         -                             -                         -   
Advances for future capital increase               95,544                      -                         -                         -                         -                             -                  95,544
Regulatory Liabilities (Portion A - CVA)                      -                         -                         -                         -                         -                             -                         -   
Others             745,681             550,320             494,813          1,912,856               43,519              1,458,579          2,288,610
                                 
                                 
                                 
SHAREHOLDERS' EQUITY       113,118,115         44,213,393         32,406,521         31,010,338           8,952,523                        -          116,527,094       113,173,796
Share capital        69,991,640        15,439,373        19,370,176        20,336,184          7,067,586              62,213,319        69,991,640
Cash-pool          (1,972,514)                        -                           -                           -                           -                               -             (1,972,514)
Advances for future capital increase                        -               8,400,000                        -                           -                           -                   8,400,000                        -   
Capital Reserves          13,878,262            4,925,031            4,916,199                        -                           -                   9,841,230          13,878,262
Profit reserves          33,910,233          15,525,870            9,792,422            9,485,691            1,742,696              36,546,679          33,910,233
Proposed Additional Dividend                        -                           -                           -                           -                           -                               -                           -   
Accumulated profits/losses            4,073,448            1,905,334            2,125,515               874,502               168,975                5,074,326            4,073,448
 Other Comprehensive Income           (6,762,954)          (2,003,872)          (3,797,791)             (275,148)               (26,734)              (6,103,545)          (6,762,954)
Interest of non-controlling shareholders                        -                    21,657                        -                  589,109                        -                      555,085                 55,681
                                 
Participation of controlling shareholders                        -                           -                           -                           -                           -                           -                           -                           -   
                                 
 Participation of non-controlling shareholders                        -                           -                           -                           -                           -                           -                           -                           -   
                                 
TOTAL SHAREHOLDERS' EQUITY       113,118,115         44,213,393         32,406,521         31,010,338           8,952,523                        -          116,527,094       113,173,796
                                 
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY       170,497,628         99,875,819         62,180,650         59,576,454         15,640,667                        -          130,964,209       276,807,009

 

 

                                 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
BALANCE SHEET AS OF DECEMBER 31, 2022
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                 
ASSET                                
                                 
CURRENT         20,024,440         18,829,403           6,816,205           4,781,644           2,942,884                74,662           3,886,854         49,582,384
Financial Asset - Itaipu (Parent Company)                        -                           -                           -                           -                           -                           -                           -                           -   
Restricted cash            2,917,849               180,552                        -                           -                           -                           -                           -               3,098,401
Accounts Receivable, net            4,927,871            4,764,303               874,173               162,518                   9,994                     267                        -             10,739,126
Customers (Consumers and resellers)               462,628            1,771,246               869,168            1,453,289               384,376                        -                  145,783            4,794,924
Financing and Loans - principal            1,524,088                        -                           -                           -                           -                           -                  831,249               692,839
Financing and Loans - charges                        -                           -                           -                           -                           -                           -                           -                           -   
Marketable Securities            3,611,904            6,538,334               386,643               209,271            1,384,157                 63,346                         1          12,193,654
Dividends Receivable (Remuneration of shareholdings)            3,028,085               117,409                 54,279                 28,375                        -                      7,278            2,527,551               707,875
Deferred Fiscal Assets (Tax and Contributions)               857,466                   5,148                 81,575               179,177                   5,834                   1,870                 (4,843)            1,135,913
Income Tax and Social Contribution               261,321               592,381               634,263               243,170                 18,090                     144                     144            1,749,225
Derivative Financial Instruments                        -                           -                           -                  501,355                        -                           -                           -                  501,355
Reimbursement Rights            1,186,214                        -                           -                    25,463                   5,251                        -                           -               1,216,928
Guarantees and Linked Deposits                        -                  137,708                 28,782                        -                      7,506                        -                  173,996                        -   
Inventory                     262               145,915               121,543               110,745                 50,845                        -                           -                  429,310
Amounts Receivable Law 12,783/2013                        -                           -                           -                           -                           -                           -                           -                           -   
Nuclear Fuel Inventory                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets - Allowed Annual Revenue (Transmission)                        -                  554,850               563,720               460,898               423,376                        -               2,002,844                        -   
Contractual Assets - Indemnifiable concessions (Transmission)                        -               3,590,494            2,271,551            1,041,109               443,128                        -             (2,002,844)            9,349,126
Contractual Assets - RBSE (Transmission)                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets - RBSE                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets - Indemnifiable concessions (Generation)                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets (Parcel A - CVA)                        -                           -                           -                           -                           -                           -                           -                           -   
Hydrological Risk                        -                           -                           -                           -                           -                           -                           -                           -   
Others               926,061               431,063               786,886               161,396               130,010                   1,757               151,824            2,285,349
                                 
Assets held for sale               320,691                        -                  143,622               204,878                 80,317                        -                    61,149               688,359
                                 
NON-CURRENT       148,620,402         77,517,329         54,478,628         49,853,770         12,172,371              187,006       123,458,487       219,371,019
                                 
LONG-TERM RECEIVABLES         34,583,843         25,189,105         17,245,651         11,252,788           7,598,142                  3,766         25,208,084         70,665,211
Financial Asset - Itaipu (Parent Company)                        -                           -                           -                           -                           -                           -                           -                           -   
Receivables - ENBPAR (parent company)                        -                           -                           -                           -                           -                           -                           -                           -   
Restricted cash                        -                  902,780               403,358                        -                           -                           -                           -               1,306,138
Customers (Consumers and resellers)                        -                  238,051                        -                  465,004                        -                           -                           -                  703,055
Financing and Loans - principal            3,366,460                        -                           -                           -                           -                           -               3,037,654               328,806
Marketable Securities               411,705                        -                        231                     118                        -                           -                         (39)               412,093
Deferred Fiscal Assets (Tax and Contributions)                   3,705                 12,125               214,093               209,273                        -                      3,766                   3,766               439,196
Income Tax and Social Contribution                        -               2,077,784                        -                           -               1,463,378                        -                           -               3,541,162
Derivative Financial Instruments                        -                           -                           -                  485,507                        -                           -                           -                  485,507
Reimbursement Rights            2,048,517                        -                           -                    76,390                        -                           -                           -               2,124,907
Guarantees and Linked Deposits            6,402,122            1,131,005               541,800               220,855               262,231                        -                           -               8,558,013
Rights with Revitalization of Basins                        -                           -                           -                           -                           -                           -                           -                           -   
Nuclear Fuel Inventory                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets - Allowed Annual Revenue (Transmission)                        -                           -               6,609,150            3,411,943            3,612,894                        -             13,633,987                        -   
Contractual Assets - Indemnifiable concessions (Transmission)                        -               6,051,428               709,313            2,125,766               487,724                        -               9,374,231                        -   
Contractual Assets - RBSE (Transmission)                        -             14,566,845            8,707,065            3,733,468            1,687,488                        -            (23,008,218)          51,703,084
Contractual Assets - RBSE                        -                           -                           -                           -                           -                           -                           -                           -   
Contractual Assets - Indemnifiable concessions (Generation)                        -                           -                           -                           -                           -                           -                           -                           -   
Advances for equity interest          20,596,029                        -                           -                           -                           -                           -             20,596,029                        -   
Contractual Assets (Parcel A - CVA)                        -                           -                           -                           -                           -                           -                           -                           -   
Hydrological Risk                        -                           -                           -                           -                           -                           -                           -                           -   
Others            1,755,305               209,087                 60,641               524,464                 84,427                        -               1,570,674            1,063,250
                                 
INVESTMENTS       113,736,819           5,076,612           5,650,536           5,547,620           1,946,945              183,201         98,156,211         33,985,522
Assessed by equity method        112,079,558            5,059,419            5,633,425            5,547,620            1,939,479               120,974          98,156,211          32,224,264
Held at fair value            1,657,261                        -                           -                           -                           -                    62,227               (41,770)            1,761,258
Evaluated at acquisition cost                        -                    17,193                     229                        -                      7,466                        -                    24,888                        -   
Other Investments                        -                           -                    16,882                        -                           -                           -                    16,882                        -   
                                 
FIXED ASSETS              231,883         24,725,671           2,811,656           4,631,490           2,433,158                       39                94,192         34,739,705
                                 
INTANGIBLE ASSETS                67,857         22,525,941         28,770,785         28,421,872              194,126                        -                           -            79,980,581
                                 
TOTAL ASSETS       168,644,842         96,346,732         61,294,833         54,635,414         15,115,255              261,668       127,345,341       268,953,403

 

 

 
                                 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
BALANCE SHEET AS OF DECEMBER 31, 2022
(in thousands of Brazilian Reais)
                                 
 LIABILITIES AND SHAREHOLDERS' EQUITY                                 
                                 
CURRENT         13,546,305           6,282,248           3,377,603           5,494,188           1,597,996                32,321           3,889,785         26,440,876
Financial Liabilities - Itaipu (Parent Company)                        -                           -                           -                           -                           -                           -                           -                           -   
Compulsory loan (Parent company)                        -                           -                           -                           -                           -                           -                           -                           -   
Global Reversal Reserve - RGR (Company)                        -                           -                           -                           -                           -                           -                           -                           -   
Suppliers               994,922            1,068,576               554,497               616,199               461,991                        -                  179,012            3,517,173
Financing and loans - principal, charges and debentures            3,682,702            2,617,176               207,407            1,398,829               426,256                        -                  807,600            7,524,770
Charges                        -                           -                           -                           -                           -                           -                           -                           -   
Debentures            1,289,602                        -                           -                           -                           -                           -                           -               1,289,602
Taxes and social contributions               370,739               296,767               285,739               284,358                 33,036                     778                    (283)            1,271,700
Income tax and social security contribution                        -                           -                           -                           -                           -                           -                           -                           -   
Derivative Financial Instruments                        -                           -                           -                           -                           -                           -                           -                           -   
Reimbursement obligations            1,912,423                        -                           -                           -                           -                           -                           -               1,912,423
Advances from customers (Advance sale of energy)            1,486,222                 64,270                        -                  102,630                        -                           -                           -               1,653,122
Remuneration to shareholders (dividends payable)               913,018               742,797               592,047               742,182                 96,690                   6,892            2,168,982               924,644
Estimated obligations               166,337               511,151               557,716               796,566               286,254                     530                        -               2,318,554
Provisions for litigation             2,646,711                 62,450                        -                           -                           -                           -                           -               2,709,161
Post-employment benefit                        -                    36,815               187,658                        -                    21,964                        -                           -                  246,437
Obligations with CDE                        -                  174,904               248,146               174,672                        -                           -                (874,940)            1,472,662
Obligations with revitalization with Watersheds                        -                  230,764               349,553               294,623                        -                           -                  874,940                        -   
Leasing - Principal                   8,710                 28,098                       39               194,936                   8,395                        -                    15,859               224,319
Leasing - Interest                        -                    (9,276)                        -                    (3,084)                 (3,499)                        -                  (15,859)                        -   
Onerous Contracts                        -                           -                           -                           -                           -                           -                           -                           -   
Concessions payable - Use of the public good                        -                    29,943                        -                           -                      3,717                        -                    33,660                        -   
Sectoral charges                        -                  186,837               353,427               423,804                 32,542                        -                           -                  996,610
Regulatory Liabilities (Portion A - CVA)                        -                           -                           -                           -                           -                           -                           -                           -   
Others                 74,919               240,976                 41,374               468,473                 60,202                 24,121               700,814               209,251
                                 
Held for sale                        -                           -                           -                           -                  170,448                        -                           -                  170,448
                                 
NON-CURRENT         45,857,800         44,581,122         36,460,244         26,428,969           4,764,322                  9,327         25,353,834       132,747,950
Remuneration to shareholders (dividends payable)                      -                         -                         -                         -                         -                         -                           -                         -   
Compulsory loan (Parent company)    0                       -                         -                         -                         -                         -                           -                         -   
-                      -                         -                         -                         -                         -                         -                           -                         -   
Global Reversal Reserve - RGR (Company)                      -                         -                         -                         -                         -                         -                           -                         -   
Suppliers                      -                         -                         -                         -                         -                         -                           -                         -   
Financing and loans - principal, charges and debentures        22,269,941        25,900,525             827,706          2,813,588          2,807,646                      -               3,037,654        51,581,752
Debentures                      -                         -                         -                         -                         -                         -                           -                         -   
Taxes and social contributions                      -                202,010                      -                521,706                      -                         -                           -                723,716
Income tax and social security contribution             427,390          4,242,878             588,229          1,026,523                      -                    9,327                         0          6,294,347
Derivative Financial Instruments                      -                         -                         -                         -                         -                         -                           -                         -   
Reimbursement obligations                      -                         -                         -                         -                         -                         -                           -                         -   
Advances from customers (Advance sale of energy)                      -                129,484                      -                  84,437                      -                         -                           -                213,921
 Estimated obligations                       -                    4,697                      -                         -                         -                         -                      4,697                      -   
Provisions for litigation         22,084,048          2,706,968          4,208,697             512,258          1,111,587                      -                           -           30,623,558
Provision for unsecured liabilities in investees                      -                         -                         -                         -                         -                         -                           -                         -   
Post-employment benefit             680,399             122,594          3,579,524               61,073             503,644                      -                           -             4,947,234
Obligations with CDE                      -             8,382,493        12,192,728          8,582,550                      -                         -             (6,029,021)        35,186,792
Obligations with revitalization with Watersheds                      -             1,583,991          2,412,032          2,032,998                      -                         -               6,029,021                      -   
Leasing - Principal               32,571             226,878                 1,972             290,413               51,314                      -                    74,299             528,849
Leasing - Interest                      -                (52,582)                      -                  (3,925)             (17,792)                      -                  (74,299)                      -   
Onerous Contracts                      -                         -                  90,499                      -                173,923                      -                    55,323             209,099
Concessions payable - Use of the public good                      -                327,256                      -                         -                  45,164                      -                           -                372,420
Sector Charges (regulatory fees)                      -                221,777             219,571                      -                  23,010                      -                           -                464,358
Obligations to demob. of assets (Discount of nucl. plants)                      -                         -                         -                         -                         -                         -                           -                         -   
Advances for future capital increase               86,919                      -           11,766,222          8,829,806                      -                         -             20,596,028               86,919
Regulatory Liabilities (Portion A - CVA)                      -                         -                         -                         -                         -                         -                           -                         -   
Others             276,532             582,153             573,064          1,677,542               65,826                      -             1,660,132          1,514,985
                                 
                                 
                                 
SHAREHOLDERS' EQUITY       110,504,796         45,483,362         21,456,986         22,712,257           8,752,937              220,020         98,101,722       111,028,636
Share capital          69,705,554          15,439,373            9,753,953          13,506,377            7,067,586               118,055          45,885,344          69,705,554
Cash-pool                        -                           -                           -                           -                           -                           -                           -                           -   
Advances for future capital increase                        -               8,400,000                        -                           -                           -                           -               8,400,000                        -   
Capital Reserves          13,867,170            5,053,045            4,916,199                        -                           -                      9,782            9,979,026          13,867,170
Profit reserves          33,910,233          18,054,370            9,888,817            9,487,068            1,742,815                 53,296          39,226,366          33,910,233
Proposed Additional Dividend                        -                  299,121               695,808                        -                           -                    21,416            1,016,345                        -   
Accumulated profits/losses                        -                           -                           -                           -                           -                           -                           -                           -   
 Other Comprehensive Income           (6,978,161)          (1,996,130)          (3,797,791)             (281,188)               (26,734)                 17,471          (6,084,372)          (6,978,161)
Interest of non-controlling shareholders                        -                  233,583                        -                           -                  (30,730)                        -                (320,987)               523,840
                                 
Participation of controlling shareholders                        -                           -                           -                           -                           -                           -                           -                           -   
                                 
 Participation of non-controlling shareholders                        -                           -                           -                           -                           -                           -                           -                           -   
                                 
TOTAL SHAREHOLDERS' EQUITY       110,504,796         45,483,362         21,456,986         22,712,257           8,752,937              220,020         98,101,722       111,028,636
                                 
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY       169,908,901         96,346,732         61,294,833         54,635,414         15,115,255              261,668       127,345,341       270,217,462

 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
INCOME STATEMENT FOR THE PERIODS ENDED ON SEPTEMBER 30, 2023
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                 
NET OPERATING REVENUE - ROL                93,997         10,876,704           6,126,172           8,182,998           2,405,134                        -                 448,212         27,236,793
                                 
GENERATION                         3           7,834,495           3,291,875           7,316,938           1,146,845                        -                 194,978         19,395,178
                                 
Procurement                         -               5,510,186               425,824            5,291,010            1,138,620                   194,978          12,170,662
Supply                        -               1,121,683               650,249            1,147,539                        -                               -               2,919,471
CCEE                         3               195,754               236,697               852,487                   8,225                            -               1,293,166
Revenue from operation and maintenance                        -               1,006,872            1,979,105                 25,902                        -                               -               3,011,879
Revenue from construction of Plants                        -                           -                           -                           -                           -                               -                           -   
Itaipu Transfer                        -                           -                           -                           -                           -                               -                           -   
                                 
TRANSMISSION                        -              4,870,901           4,044,486           2,693,313           1,510,668                        -                 245,474         12,873,894
                                 
Revenue from operation and maintenance - Renewed Lines                        -                           -                           -                           -                           -                               -                           -   
Revenue from operation and maintenance                        -               1,911,438            1,834,324            1,400,851               710,677                   245,474            5,611,816
Financial - Return on Investment - RBSE                        -                           -                           -                           -                           -                               -                           -   
Construction revenue                        -                  664,751               488,324               292,268               243,117                            -               1,688,460
Contractual revenue - Transmission                        -               2,294,712            1,721,838            1,000,194               556,874                            -               5,573,618
                                 
OTHER REVENUES                95,697                30,139                44,586              135,710                49,450                      7,760              347,822
                                 
DEDUCTIONS                (1,703)         (1,858,831)         (1,254,775)         (1,962,963)            (301,829)                        -                           -            (5,380,101)
                                 
    (-) Sector charges                        -                (527,933)             (467,899)             (685,850)               (66,460)                            -             (1,748,142)
    (-) ICMS                         -                (140,805)             (113,924)             (527,530)                    (711)                            -                (782,970)
    (-) PASEP and COFINS                 (1,703)          (1,189,772)             (672,317)             (745,087)             (234,382)                            -             (2,843,261)
    (-) Other Deductions                        -                       (321)                    (635)                 (4,496)                    (276)                            -                    (5,728)
                                 
OPERATING COSTS                     (73)         (5,705,401)         (2,579,481)         (3,870,388)         (1,428,650)                        -               (441,540)       (13,142,453)
                                 
Personnel, Supplies and Services                        -                (969,394)             (609,745)             (595,909)             (373,153)                        -                           -             (2,548,201)
Personnel                        -                (565,184)             (427,790)             (338,389)             (246,420)                            -             (1,577,783)
Consensual Dismissal Plan (PDC) - Provision                        -                           -                           -                           -                           -                               -                           -   
Supplies                        -                  (46,759)               (10,407)               (65,220)                 (8,798)                            -                (131,184)
Services                        -                (357,451)             (171,548)             (192,300)             (117,935)                            -                (839,234)
Energy purchased for resale                      (73)          (1,498,631)             (171,953)             (150,395)             (460,489)                 (194,978)          (2,086,563)
Charges on the use of the power grid                        -             (1,205,315)             (793,982)             (695,866)               (48,386)                 (245,474)          (2,498,075)
Combustível para produção de energia elétrica                        -                (228,523)                        -             (1,035,373)             (176,665)                            -             (1,440,561)
Construction                        -                (643,011)             (720,797)             (313,086)             (242,865)                            -             (1,919,759)
Depreciation                        -                (791,775)               (88,068)             (318,379)             (140,288)                            -             (1,338,510)
Amortization                        -                (294,150)             (178,961)             (728,362)                 (3,454)                            -             (1,204,927)
Provisions/Operational reversals                        -                           -                           -                           -                           -                               -                           -   
Other Costs                        -                  (74,602)               (15,975)               (33,018)                 16,650                     (1,088)             (105,857)
                                 
GROSS INCOME                93,924           5,171,303           3,546,691           4,312,610              976,484                        -                     6,672         14,094,340
                                 
OPERATING EXPENSES            (432,991)            (986,991)            (165,252)         (1,058,873)            (524,790)                        -                   (3,282)         (3,165,615)
                                 
    Personnel, Supplies and Services             (744,999)             (581,958)             (519,108)             (767,443)             (258,848)                       3,887          (2,876,243)
Personnel             (345,929)             (244,784)             (287,691)             (454,141)             (136,073)                       1,346          (1,469,964)
Extraordinary Retirement Program               (44,094)             (125,055)             (123,896)             (159,197)               (67,126)                            -                (519,368)
Supplies                 (1,598)                 (4,088)               (16,076)                   5,905                 (4,568)                           13               (20,438)
Services             (353,378)             (208,031)               (91,445)             (160,010)               (51,081)                       2,528             (866,473)
Depreciation               (32,758)               (29,242)               (27,274)               (54,206)               (12,948)                             6             (156,434)
Amortization                       (8)                 (5,890)                 (3,965)                 (5,126)                 (7,393)                            -                  (22,382)
Donations and contributions                 (6,637)                 (8,471)               (19,020)               (34,531)                 (9,634)                            -                  (78,293)
Provisions/Operational reversals            1,269,184             (325,095)               780,504               (97,262)             (218,800)                   245,536            1,162,995
Other expenses             (917,773)               (36,335)             (376,389)             (100,305)               (17,167)                 (252,711)          (1,195,258)
                                 
Regulatory remeasurements - Transmission contracts                        -                           -                        184                    (350)               (11,978)                        -                           -                  (12,144)
                                 
OPERATING INCOME BEFORE FINANCIAL INCOME            (339,067)           4,184,312           3,381,623           3,253,387              439,716                        -                     3,390         10,916,581
                                 
FINANCIAL INCOME         (2,986,055)         (2,491,465)         (1,314,504)         (2,520,197)            (165,653)                        -                   (2,682)         (9,475,192)
                                 
Revenue from financial investments               600,328            1,173,875               149,465               116,455                 63,297                     (4,152)            2,107,572
Interest income, fines, commissions and fees               623,391                 16,466                        -                           -                           -                      471,190               168,667
Addition of moratorium on electricity                   1,137                   1,315                   4,465               107,734                        -                               -                  114,651
Active monetary restatements               322,914               106,433               100,014                 36,864                 32,170                   223,808               374,587
Active exchange variations               303,952                 25,302                        -                    17,187                 22,621                       1,316               367,746
Revenue from Interest on Dividends                        -                           -                           -                           -                           -                               -                           -   
Fair value adjustment - RBSE                        -                           -                           -                           -                           -                               -                           -   
Gains from derivatives                        -                           -                           -                  119,931                   2,520                            -                  122,451
Other financial income               327,975                 15,527                 (2,132)                 19,592                   8,504                       1,602               367,864
(-) Taxation on Financial Revenue             (438,938)               (61,214)                        -                  (14,398)                 (4,952)                         193             (519,695)
                                 
Debt charges - Loans and Financing          (1,926,961)          (2,505,157)             (113,965)             (504,337)             (186,818)                 (470,861)          (4,766,377)
Debt charges - Suppliers                        -      0   0   0   -329       -329   0
Charges - Obligations to CDE                        -                (488,754)             (710,558)             (500,167)                        -                               -             (1,699,479)
Charges - Revitalization of River Basins                        -                  (69,542)             (105,825)               (89,195)                        -                               -                (264,562)
Leasing charges                 (2,874)                 (8,901)                    (165)             (413,860)                 (2,648)                            -                (428,448)
Charges on shareholders' funds                         -                           -                           -                           -                           -                               -                           -   
Passive monetary adjustments          (1,636,174)             (132,399)                 (9,918)             (248,320)               (54,701)                 (223,808)          (1,857,704)
Monetary restatement - Obligations to CDE                        -                (335,608)             (487,912)             (343,445)                        -                               -             (1,166,965)
Monetary restatement - Revitalization of River Basins                        -                  (63,842)               (97,150)               (81,884)                        -                               -                (242,876)
Passive exchange variations             (169,950)                        -                           -                       (786)                 (3,737)                     (1,316)             (173,157)
Update of Regulatory Liabilities (Portion A - CVA)                        -                           -                           -                           -              0   0
Fair value adjustment - RBSE                        -                           -                           -                           -              0   0
Losses from derivatives             (720,901)                        -                           -                (635,680)                 (9,027)                            -             (1,365,608)
Other financial expenses             (269,954)             (164,966)               (40,823)             (105,888)               (32,553)                        (325)             (613,859)
                                 
INCOME BEFORE EQUITY INVESTMENTS         (3,325,122)           1,692,847           2,067,119              733,190              274,063                        -                        708           1,441,389
                                 
Income from equity investments            7,310,182               576,949                 71,826             (103,359)               (16,810)                6,040,397            1,798,391
                                 
Other income and expenses                   4,088                 72,014               245,831               535,907                        -                        (2,091)               859,931
                                 
Effect of Law 14,182/2021                        -                           -                           -                           -                           -                               -                           -   
                                 
OPERATING INCOME BEFORE TAXES           3,989,148           2,341,810           2,384,776           1,165,738              257,253                        -              6,039,014           4,099,711
                                 
Current income tax and social contribution                     608               (21,876)             (241,470)             (459,954)               (50,399)                 (305,368)             (467,723)
Deferred income tax and social contribution                        -                  398,918             (195,361)                 35,892               (37,969)                            -                  201,480
Tax incentive income                        -                           -                  177,570               132,826                        -                      310,396                        -   
                                                 
Portion Attributed to Non-Controlling Shareholders                        -                (157,983)                        -                           -                         (90)                        -                (158,073)                        -   
                                 
NET PROFIT (LOSS) FROM CONTINUED OPERATIONS           3,989,756           2,876,835           2,125,515              874,502              168,975                        -              6,202,115           3,833,468
                                 
NET PROFIT (LOSS) FROM DISCONTINUED OPERATIONS            (332,014)                        -                           -                           -                           -                           -                           -               (332,014)
                                 
NET PROFIT (LOSS) FOR THE PERIOD           3,657,742           2,876,835           2,125,515              874,502              168,975                        -              6,202,115           3,501,454

 

 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
INCOME STATEMENT FOR THE PERIODS ENDED ON SEPTEMBER 30, 2022
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                   
NET OPERATING REVENUE - ROL              139,207           8,949,299           6,019,988           7,604,765           2,760,005                     292              408,601         25,064,955
                                 
GENERATION                30,756           5,891,152           3,010,684           7,037,588           1,565,226                        -                 180,005         17,355,401
                                 
Procurement                         -               3,212,731                 67,591            5,290,908            1,543,177                        -                  180,005            9,934,402
Supply                        -               1,044,851               638,616            1,264,844                        -                           -                           -               2,948,311
CCEE                 17,437               437,836                 88,384               452,331                 22,049                        -                           -               1,018,037
Revenue from operation and maintenance                        -               1,188,410            2,216,093                 29,505                        -                           -                           -               3,434,008
Revenue from construction of Plants                        -                      7,324                        -                           -                           -                           -                           -                      7,324
Itaipu Transfer                 13,319                        -                           -                           -                           -                           -                           -                    13,319
                                 
TRANSMISSION                        -              4,534,334           4,125,508           2,160,038           1,528,266                        -                 205,216         12,142,930
                                 
Revenue from operation and maintenance - Renewed Lines                        -                           -                           -                           -                           -                           -                           -                           -   
Revenue from operation and maintenance                        -               1,655,751            1,692,927               921,031               700,943                        -                  205,216            4,765,436
Financial - Return on Investment - RBSE                        -                           -                           -                           -                           -                           -                           -                           -   
Construction revenue                        -                  268,997               506,999               119,042               139,882                        -                           -               1,034,920
Contractual revenue - Transmission                        -               2,609,586            1,925,582            1,119,965               687,441                        -                           -               6,342,574
                                 
OTHER REVENUES              158,873                19,941                52,941              478,397                48,933                     292                23,380              735,997
                                 
DEDUCTIONS              (50,422)         (1,496,128)         (1,169,145)         (2,071,258)            (382,420)                        -                           -            (5,169,373)
                                 
    (-) Sector charges                        -                (470,526)             (479,303)             (761,204)             (122,271)                        -                       (468)          (1,832,836)
    (-) ICMS                         -                (144,037)             (111,423)             (600,116)                 (1,051)                        -                           -                (856,627)
    (-) PASEP and COFINS               (50,422)             (880,757)             (577,905)             (704,650)             (258,346)                        -                           -             (2,472,080)
    (-) Other Deductions                        -                       (808)                    (514)                 (5,288)                    (752)                        -                        468                 (7,830)
                                 
OPERATING COSTS              (16,605)         (4,273,895)         (2,177,587)         (3,378,015)         (1,441,662)                        -               (386,997)       (10,900,767)
                                 
Personnel, Supplies and Services                        -                (938,597)             (575,014)             (638,622)             (389,322)                        -                  (15,115)          (2,526,440)
Personnel                        -                (628,450)             (421,363)             (411,469)             (252,142)                        -                           -             (1,713,424)
Consensual Dismissal Plan (PDC) - Provision                        -                           -                           -                           -                           -                           -                           -                           -   
Supplies                        -                  (28,847)               (12,929)               (52,096)               (16,218)                        -                    40,486             (150,576)
Services                        -                (281,300)             (140,722)             (175,057)             (120,962)                        -                  (55,601)             (662,440)
Energy purchased for resale               (16,605)          (1,477,658)             (174,725)             (177,736)             (475,419)                        -                (180,005)          (2,142,138)
Charges on the use of the power grid                        -                (779,875)             (694,192)             (610,744)               (46,756)                        -                (149,615)          (1,981,952)
Combustível para produção de energia elétrica                        -                (473,137)                        -                (948,727)             (160,448)                        -                  (40,486)          (1,541,826)
Construction                        -                (118,081)             (615,843)               (51,590)             (199,578)                        -                  (50,320)             (934,772)
Depreciation                        -                (374,219)               (73,944)             (323,364)             (155,249)                        -                           -                (926,776)
Amortization                        -                (112,328)               (18,615)             (593,140)                 (3,454)                        -                           -                (727,537)
Provisions/Operational reversals                        -                           -                           -                           -                           -                           -                           -                           -   
Other Costs                        -                           -                  (25,254)               (34,092)               (11,436)                        -                    48,544             (119,326)
                                 
GROSS INCOME              122,602           4,675,404           3,842,401           4,226,750           1,318,343                     292                21,604         14,164,188
                                 
OPERATING EXPENSES         (2,355,635)         (1,872,462)         (1,904,450)         (2,772,151)            (473,814)                (3,636)              (93,951)         (9,288,197)
                                 
    Personnel, Supplies and Services             (426,846)             (413,875)             (502,704)             (663,092)             (209,711)                 (2,912)                     888          (2,220,028)
Personnel             (272,275)             (191,457)             (419,983)             (542,214)             (151,853)                 (1,260)                        -             (1,579,042)
Extraordinary Retirement Program                        -                           -                           -                           -                           -                           -                           -                           -   
Supplies                    (361)                 (2,654)               (16,662)                        -                    (6,711)                      (10)                        -                  (26,398)
Services             (154,210)             (219,764)               (66,059)             (120,878)               (51,147)                 (1,642)                     888             (614,588)
Depreciation                 (8,373)               (32,078)               (23,095)               (53,122)               (12,987)                       (6)                       (6)             (129,655)
Amortization                       (8)               (10,945)                    (767)                 (6,963)                 (7,971)                        -                           -                  (26,654)
Donations and contributions               (97,296)               (27,147)                 (1,341)               (11,514)                 (1,291)                        -                      3,082             (141,671)
Provisions/Operational reversals          (1,629,576)          (1,058,050)          (1,090,793)          (1,895,114)             (226,806)                        -                (106,655)          (5,793,684)
Other expenses             (193,536)             (330,367)             (285,750)             (142,346)               (15,048)                    (718)                   8,740             (976,505)
                                 
Regulatory remeasurements - Transmission contracts                        -                    19,874               225,369                 21,890                 95,259                        -                           -                  362,392
                                 
OPERATING INCOME BEFORE FINANCIAL INCOME         (2,233,033)           2,822,816           2,163,320           1,476,489              939,788                (3,344)              (72,347)           5,238,383
                                 
FINANCIAL INCOME            (189,062)            (920,431)            (162,316)         (1,415,320)              (11,629)                  3,078                   (164)         (2,695,516)
                                 
Revenue from financial investments               698,937               291,316               207,394               235,888               135,265                   5,277                         0            1,574,077
Interest income, fines, commissions and fees               915,947                 23,244                        -                           -                           -                           -                  229,332               709,859
Addition of moratorium on electricity                        -                      1,382                   6,827               388,414                        -                           -                           -                  396,623
Active monetary restatements            1,039,159               148,127                 73,351                        -                    28,382                        -                  230,372            1,058,647
Active exchange variations            1,132,583                 12,474                        -                    35,127                 67,577                        -                  116,310            1,131,451
Revenue from Interest on Dividends               368,723                        -                           -                           -                           -                           -                  301,163                 67,560
Fair value adjustment - RBSE                        -                           -                           -                           -                           -                           -                           -                           -   
Gains from derivatives                        -                           -                           -                           -                           -                           -                           -                           -   
Other financial income               202,486                 23,283                   8,869                 44,758                 48,986                        -                      5,353               323,029
(-) Taxation on Financial Revenue             (203,150)               (22,809)                        -                  (35,191)                 (9,775)                    (164)                       42             (271,131)
                                 
Debt charges - Loans and Financing          (1,380,454)             (987,153)               (74,018)             (336,561)             (187,035)                        -                  489,058          (3,454,279)
Debt charges - Suppliers                        -                           -                           -                           -                    (7,219)                        -                    (7,219)                        -   
Charges - Obligations to CDE                        -                (161,458)             (233,188)             (166,315)                        -                           -                           -                (560,961)
Charges - Revitalization of River Basins                        -                  (24,483)               (37,257)               (31,402)                        -                           -                           -                  (93,142)
Leasing charges                 (3,183)                 (8,105)                    (165)             (397,976)                 (2,882)                        -                (409,128)                 (3,183)
Charges on shareholders' funds                  (6,889)               (42,295)               (90,140)             (162,863)                 (6,745)                        -                (603,206)               294,274
Passive monetary adjustments          (1,664,540)               (66,395)               (17,635)             (102,102)               (60,677)                        -                (230,372)          (1,680,977)
Monetary restatement - Obligations to CDE                        -                      3,398                   5,674                   2,961                        -                           -                           -                    12,033
Monetary restatement - Revitalization of River Basins                        -                      6,734                 10,248                   8,638                        -                           -                           -                    25,620
Passive exchange variations          (1,015,617)                      (19)                        -                           -                           -                           -                (116,310)             (899,326)
Update of Regulatory Liabilities (Portion A - CVA)                        -                           -                           -                           -                           -                           -                           -                           -   
Fair value adjustment - RBSE                        -                           -                           -                           -                           -                           -                           -                           -   
Losses from derivatives                        -                           -                           -                (576,408)                        -                           -                           -                (576,408)
Other financial expenses             (273,064)             (117,672)               (22,276)             (322,288)               (17,506)                 (2,035)                 (5,559)             (749,282)
                                 
INCOME BEFORE EQUITY INVESTMENTS         (2,422,095)           1,902,385           2,001,004                61,169              928,159                   (266)              (72,511)           2,542,867
                                 
Income from equity investments            5,223,640               457,774               135,665               (43,103)               (43,080)                 14,072            4,077,098            1,667,870
                                 
Other income and expenses               574,658          (1,331,105)                        -                    41,785                        -                      5,105             (983,923)               274,366
                                 
Effect of Law 14,182/2021                        -                           -                (619,230)            1,603,150                        -                           -                  983,920                        -   
                                 
OPERATING INCOME BEFORE TAXES           3,376,203           1,029,054           1,517,439           1,663,001              885,079                18,911           4,004,584           4,485,103
                                 
Current income tax and social contribution             (271,638)             (335,659)             (268,184)             (984,226)             (133,152)                      (83)             (263,544)          (1,729,398)
Deferred income tax and social contribution                        -                  208,339               (79,991)               407,313             (161,146)                        -                           -                  374,515
Tax incentive income                        -                           -                  195,911                 67,633                        -                           -                  263,544                        -   
                                                 
Portion Attributed to Non-Controlling Shareholders                        -                    10,532                        -                           -                    (2,298)                        -                      8,234                        -   
                                 
NET PROFIT (LOSS) FROM CONTINUED OPERATIONS           3,104,565              891,202           1,365,175           1,153,721              593,079                18,828           3,996,350           3,130,220
                                 
NET PROFIT (LOSS) FROM DISCONTINUED OPERATIONS              986,785                        -                           -                           -                           -                           -                           -                 986,785
                                 
NET PROFIT (LOSS) FOR THE PERIOD           4,091,350              891,202           1,365,175           1,153,721              593,079                18,828           3,996,350           4,117,005

 

 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
CASH FLOW STATEMENT FOR THE PERIOD ENDED SEPTEMBER 30, 2023
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                   
OPERATIONAL ACTIVITIES                                
                                 
Income for the period before income tax and social contribution           3,989,148           2,341,810           2,384,776           1,165,738              257,253               6,039,014           4,099,711
                                 
Adjustments to reconcile profit with cash generated by operations:         (4,966,524)            (666,836)         (2,619,519)           1,387,374            (603,880)                        -            (5,173,256)         (2,296,129)
Depreciation and amortization                 32,768            1,121,057               298,268            1,106,073               164,083                           (6)            2,722,255
Net exchange and monetary variations            1,179,258               400,114               494,966               620,384                   3,647                            -               2,698,369
Financial charges               706,116            3,055,888               930,513            1,507,559               189,795                1,507,244            4,882,627
Income from the equity method          (7,310,182)             (576,949)               (71,826)               103,359                 16,810              (6,040,397)          (1,798,391)
Other Income and Expenses                 (4,088)                        -                           -                           -                           -                      855,843             (859,931)
Transmission revenue                        -             (4,870,901)          (4,044,486)          (2,693,313)          (1,510,668)                 (245,474)         (12,873,894)
Construction cost - transmission                        -                  643,011               720,797               313,086               242,865                            -               1,919,759
Regulatory remeasurements - Transmission contracts                        -                           -                       (184)                     350                 11,978                            -                    12,144
Operating provisions (reversals)          (1,269,184)               325,095             (780,504)                 97,262               218,798                 (245,536)          (1,162,997)
Financial instruments - derivatives                        -                           -                           -                  515,749                   6,507                   522,256                        -   
Income from hedged debt and derivatives               720,901                        -                           -                           -                           -                    (522,256)            1,243,157
Others               977,887             (764,151)             (167,063)             (183,135)                 52,305              (1,004,930)               920,773
                                 
                                 
Variation in operating assets and liabilities              423,283            (938,526)            (504,646)            (594,472)            (250,946)                (492,957)         (1,372,350)
                                 
                                 
Cash from (used in) operating activities                                
                                 
Payment of financial charges          (1,495,840)          (1,900,873)             (126,382)             (417,690)             (175,446)                 (297,326)          (3,818,905)
Receipt of the permitted annual revenue - RAP                        -               5,295,908            4,190,752            2,685,705            1,411,699                   200,425          13,383,639
Receipt of financial charges               736,160                        -                           -                           -                           -                      367,541               368,619
Payment of financial charges - CDE/ Basin Revitalization                        -                  (19,371)               (28,756)               (22,088)                        -                      (70,215)                        -   
Receipt of compensation for investments in equity investments            2,314,835               320,791                 33,275                 28,303                        -                   1,850,905               846,299
Payment of disputes          (1,351,125)             (246,169)                        -                  (55,373)               (74,649)                             0          (1,727,316)
Bonds and earmarked deposits             (390,811)             (213,435)                 31,888               (18,504)               (26,206)                           (0)             (617,068)
Payment of income tax and social contribution             (164,126)          (1,004,199)               (75,090)             (188,984)               (34,416)                   385,362          (1,852,177)
Payment of refinancing of taxes and contributions - principal                        -                  (24,106)                        -                (358,007)                        -                    (382,113)                        -   
Payment of supplementary pension plan               (14,908)               (66,935)             (262,815)               (17,572)               (35,626)                           (0)             (397,856)
                                 
Net cash from (used in) operating activities of continuing operations             (919,908)            2,878,059            3,023,483            3,594,430               467,783                        -               2,427,380            6,616,467
Net cash from (used in) operating activities of discontinued operations                 19,990                        -                           -                           -                           -                           -                           -                    19,990
Net cash from (used in) operating activities            (899,918)           2,878,059           3,023,483           3,594,430              467,783                        -              2,427,380           6,636,457
                                 
FINANCING ACTIVITIES                                
                                 
Loans and financing obtained and debentures obtained            7,000,000            3,514,604                 19,295               820,000               469,150                            -             11,823,049
Payment of loans and financing and debentures - principal          (1,582,454)          (1,772,956)             (138,517)             (845,300)             (291,054)                 (527,642)          (4,102,639)
Payment of remuneration to shareholders             (863,402)          (1,041,961)             (591,786)                        -                  (96,677)              (1,825,211)             (768,615)
Payment to dissenting shareholders - merger of shares                    (212)             (128,014)               (96,395)                        -                       (119)                       1,377             (226,117)
Sharebuyback           (1,823,729)                        -                           -                           -                           -                              (0)          (1,823,729)
Payment of obligations with basin revitalization - principal                        -                (391,303)             (584,060)             (458,374)                        -                               -             (1,433,737)
Payment of leases - principal                 (4,622)               (19,499)                        -                (546,157)                 (3,817)                           (0)             (574,095)
Other                        -                           -                           -                (551,451)                        -                    (551,677)                     226
                                 
Net cash from (used in) financing activities of continuing operations            2,725,581               160,871          (1,391,463)          (1,581,282)                 77,483                        -             (2,903,153)            2,894,343
Net cash from (used in) financing activities of discontinued operations                        -                           -                           -                           -                           -                           -                               -   
Net cash from (used in) financing activities           2,725,581              160,871         (1,391,463)         (1,581,282)                77,483                        -            (2,903,153)           2,894,343
                                 
INVESTMENT ACTIVITIES                                
                                 
Acquisition of debentures              (200,000)                        -                           -                           -                           -                               -                (200,000)
Receipt of loans and financing            1,686,888                        -                           -                           -                           -                      527,642            1,159,246
Acquisition of fixed assets                 (6,338)             (353,782)             (621,182)             (581,085)             (644,364)                           (0)          (2,206,751)
Acquisition of intangible assets               (20,270)                 (8,468)               (21,124)               (24,966)                 (2,146)                           (1)               (76,973)
Net financial investments (TVM)            1,063,888            1,084,595             (207,451)                 59,691               335,953                     (7,002)            2,343,678
Transmission infrastructure - contractual asset                        -                (643,011)             (720,797)             (313,086)             (221,091)                            -             (1,897,985)
Acquisition/Capital Contribution in Equity Interests                 (2,108)               (75,620)                        -                  (28,825)               (14,528)                             0             (121,081)
Disposal of investments in equity interests               355,941                        -                           -                  507,631                        -                      (44,699)               908,271
Net cash in business combination                        -                           -                           -                           -                           -                      (55,839)                 55,839
Others                        -                (161,213)                        -                    55,839                        -                        55,839             (161,213)
                                 
Net cash from (used in) investment activities of continuing operations            2,878,000             (157,499)          (1,570,554)             (324,801)             (546,176)                        -                  475,939             (196,969)
Net cash from (used in) investment activities from discontinued operations              932,046                        -                           -                           -                           -                           -                           -                 932,046
Net cash from (used in) investing activities           3,810,046            (157,499)         (1,570,554)            (324,801)            (546,176)                        -                 475,939              735,077
                                 
Increase (decrease) in cash and cash equivalents           5,635,709           2,881,431                61,466           1,688,347                   (910)                          -                     166         10,265,877
                                 
      Cash and cash equivalents at the beginning of the period             4,927,871            4,764,303               874,173               162,518                   9,994                        (267)          10,739,126
      Cash and cash equivalents at the end of the period          10,563,580            7,645,734               935,639            1,850,865                   9,084                        (101)          21,005,003
      Increase (decrease) in cash and cash equivalents from discontinued operations                        -                           -                           -                           -                           -                               -                           -   

 

 
CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRAS 
CASH FLOW STATEMENT FOR THE PERIOD ENDED SEPTEMBER 30, 2022
(in thousands of Brazilian Reais)
                                 
    Eletrobras
Holding
  Furnas   Chesf   Eletronorte   CGT Eletrosul   Eletropar   Eliminations   Eletrobras
Consolidated
                   
OPERATIONAL ACTIVITIES                                
                                 
Income for the period before income tax and social contribution           3,376,203           1,029,054           1,517,439           1,663,001              885,079                18,911           4,004,584           4,485,103
                                 
Adjustments to reconcile profit with cash generated by operations:         (4,235,989)         (1,071,469)         (3,410,431)              840,978            (779,924)              (19,349)         (4,727,402)         (3,948,783)
Depreciation and amortization                   8,380               529,570               116,421               976,589               179,661                        -                            1            1,810,620
Net exchange and monetary variations               508,415             (104,319)               (71,638)                 55,376               (35,282)                        -                           -                  352,552
Financial charges             (593,081)            1,200,250               434,768            1,095,117               203,881                 (5,277)               869,863            1,465,795
Income from the equity method          (5,223,640)             (457,774)             (135,665)                 43,103                 43,080               (14,072)          (4,077,098)          (1,667,870)
Other Income and Expenses             (574,658)               (10,532)                        -                           -                           -                           -                (310,824)             (274,366)
Transmission revenue                        -             (4,534,334)          (4,125,508)          (2,160,038)          (1,528,266)                        -                (205,216)         (12,142,930)
Construction cost - transmission                        -                  110,757               565,523                 51,590               199,578                        -                           -                  927,448
Regulatory remeasurements - Transmission contracts                        -                  (19,874)             (225,369)               (21,890)               (95,259)                        -                           -                (362,392)
Operating provisions (reversals)            1,629,576            1,058,050            1,055,119            1,895,114               226,806                        -                    70,981            5,793,684
Financial instruments - derivatives                        -                           -                           -                  576,408                        -                           -                  576,408                        -   
Income from hedged debt and derivatives                        -                           -                           -                           -                           -                           -                (576,408)               576,408
Others                   9,019            1,156,737          (1,024,082)          (1,670,391)                 25,877                        -             (1,075,108)             (427,732)
                                 
                                 
Variation in operating assets and liabilities              903,302         (1,144,645)              (99,071)           2,613,087            (436,965)                (2,816)           1,888,178              (55,286)
                                 
                                 
Cash from (used in) operating activities                                
                                 
Payment of financial charges          (1,008,362)             (823,212)               (77,627)             (379,845)             (135,370)                        -                (273,816)          (2,150,600)
Receipt of the permitted annual revenue - RAP                        -               4,165,444            3,500,384            1,933,593            1,259,102                        -                  142,476          10,716,047
Receipt of financial charges               531,789                        -                           -                           -                           -                           -                  273,816               257,973
Payment of financial charges - CDE/ Basin Revitalization                        -                           -                           -                           -                           -                           -                           -                           -   
Receipt of compensation for investments in equity investments            2,896,572               494,490                 66,229                 56,279                        -                           -               2,420,911            1,092,659
Payment of disputes          (1,851,531)                        -                           -                  (62,840)               (99,371)                        -                            0          (2,013,742)
Bonds and earmarked deposits             (426,442)             (279,591)             (239,521)               (70,901)                        -                           -                (128,296)             (888,159)
Payment of income tax and social contribution             (219,126)             (508,883)             (384,754)             (880,309)               (83,299)                        -                  375,380          (2,451,751)
Payment of refinancing of taxes and contributions - principal                        -                  (21,020)                        -                (354,360)                        -                           -                (375,380)                        -   
Payment of supplementary pension plan               (30,149)               (74,904)             (184,931)                        -                  (41,924)                        -                            0             (331,908)
                                 
Net cash from (used in) operating activities of continuing operations               (63,732)            1,765,264               687,717            5,358,683               567,328                 (3,254)            3,600,453            4,711,553
Net cash from (used in) operating activities of discontinued operations                        -                           -                           -                           -                           -                           -               2,908,844          (2,908,844)
Net cash from (used in) operating activities              (63,732)           1,765,264              687,717           5,358,683              567,328                (3,254)           6,509,297           1,802,709
                                 
FINANCING ACTIVITIES                                
                                 
Loans and financing obtained and debentures obtained                 44,746            2,500,000                        -                           -                           -                           -                            0            2,544,746
Payment of loans and financing and debentures - principal          (3,540,193)          (1,186,444)             (127,975)          (1,154,631)             (195,185)                        -                (845,581)          (5,358,847)
Payment of remuneration to shareholders             (916,031)             (599,151)             (499,949)          (1,096,529)             (120,951)                        -             (2,420,911)             (811,700)
Sharebuyback                         -                           -                           -                           -                           -                           -                           -                           -   
Payment of obligations with basin revitalization - principal                        -                           -                           -                           -                           -                           -                           -                           -   
Receipt of advance for future capital increase                        -               8,030,660          10,607,118            7,959,971                        -                           -             26,597,749                        -   
Payment of leases - principal                        -                  (22,156)                        -                (514,677)                 (3,536)                        -                           -                (540,369)
Other                        -                  (81,801)            1,714,186             (176,127)                        -                           -               1,456,258                        -   
                                 
Net cash from (used in) financing activities of continuing operations          (4,411,478)            8,641,108          11,693,380            5,018,007             (319,672)                        -             24,787,515          (4,166,170)
Net cash from (used in) financing activities of discontinued operations                        -                           -                           -                           -                           -                           -                  174,814             (174,814)
Net cash from (used in) financing activities         (4,411,478)           8,641,108         11,693,380           5,018,007            (319,672)                        -            24,962,329         (4,340,984)
                                 
INVESTMENT ACTIVITIES                                
                                 
Acquisition of debentures                         -                           -                           -                           -                           -                           -                           -                           -   
Granting of advance for future capital increase         (26,526,187)                        -                           -                           -                           -                           -            (26,526,187)                        -   
Payment of share capital          30,749,280                        -                           -                           -                           -                           -                            0          30,749,280
Receipt of loans and financing            2,557,193                        -                           -                           -                           -                           -                  845,581            1,711,612
Acquisition of fixed assets                 (6,892)             (251,753)             (371,121)             (232,269)               (54,085)                        -                            0             (916,120)
Acquisition of intangible assets                 (4,656)          (9,571,209)         (10,653,486)          (9,725,199)                 (3,278)                        -               1,992,613         (31,950,441)
Net financial investments (TVM)          (1,574,988)                        -                           -                           -                           -                           -             (5,224,449)            3,649,461
Transmission infrastructure - contractual asset                        -                (110,758)             (565,523)               (51,590)             (181,262)                        -                    25,639             (934,772)
Acquisition/Capital Contribution in Equity Interests             (188,367)               (17,625)                        -                  (12,740)               (17,057)                        -                          (0)             (235,789)
Disposal of investments in equity interests            1,103,398                        -                           -                           -                           -                           -                            0            1,103,398
Net cash in business combination                        -                           -                           -                           -                           -                           -                (180,203)               180,203
Others                        -                  714,920                        -                           -                    (2,103)                        -                  689,345                 23,472
                                 
Net cash from (used in) investment activities of continuing operations            6,108,782          (9,236,425)         (11,590,130)         (10,021,798)             (257,785)                        -            (28,377,660)            3,380,304
Net cash from (used in) investment activities from discontinued operations                        -                           -                           -                           -                           -                           -             (3,079,754)            3,079,754
Net cash from (used in) investing activities            6,108,782          (9,236,425)         (11,590,130)         (10,021,798)             (257,785)                        -          (31,457,414)            6,460,058
                                                 -       
Increase (decrease) in cash and cash equivalents           1,633,572           1,169,947              790,967              354,892              (10,129)                (3,254)                14,212           3,921,783
                                                 -       
      Cash and cash equivalents at the beginning of the period                    7,384               116,800                   9,762                 33,529                 10,859                   3,811               (10,514)               192,659
      Cash and cash equivalents at the end of the period            1,640,956            1,286,747               800,729               388,421                     730                     763                        -               4,118,346
      Increase (decrease) in cash and cash equivalents from discontinued operations                        -                           -                           -                           -                           -                           -                      3,904                 (3,904)

 

 
 

 

 
 

SIGNATURE

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Date: November 7, 2023

CENTRAIS ELÉTRICAS BRASILEIRAS S.A. - ELETROBRÁS
     
By:

/SEduardo Haiama


 
 

Eduardo Haiama

Vice-President of Finance and Investor Relations

 

 

 

FORWARD-LOOKING STATEMENTS

 

This press release may contain forward-looking statements. These statements are statements that are not historical facts, and are based on management's current view and estimates offuture economic circumstances, industry conditions, company performance and financial results. The words "anticipates", "believes", "estimates", "expects", "plans" and similar expressions, as they relate to the company, are intended to identify forward-looking statements. Statements regarding the declaration or payment of dividends, the implementation of principal operating and financing strategies and capital expenditure plans, the direction of future operations and the factors or trends affecting financial condition, liquidity or results of operations are examples of forward-looking statements. Such statements reflect the current views of management and are subject to a number of risks and uncertainties. There is no guarantee that the expected events, trends or results will actually occur. The statements are based on many assumptions and factors, including general economic and market conditions, industry conditions, and operating factors. Any changes in such assumptions or factors could cause actual results to differ materially from current expectations.



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