(DOE de 18.12.2025) Divulga Tabela Prática para Atualização de Débitos, exceto os relativos a ICMS e IPVA, por meio da UFESP mensal, aplicável no período de 1° de janeiro a 31 de dezembro de 2026 A Diretora de Cobrança e Arrecadação divulga a Tabela Prática para Atualização de Débitos, exceto os relativos a ICMS e IPVA, por meio da UFESP mensal, aplicável no período de 1° de janeiro a 31 de dezembro de 2026. TABELA PRÁTICA PARA ATUALIZAÇÃO MONETÁRIA DE DÉBITOS, EXCETO OS RELATIVOS A ICMS E IPVA, ANEXA AO COMUNICADO DICAR-92, DE 17/12/2025 ANOJANEIROFEVEREIROMARÇOABRILMAIOJUNHOJULHOAGOSTOSETEMBROOUTUBRONOVEMBRODEZEMBRO820,026424380,025166050,023967730,022826370,021636410,020508500,019439280,018338980,017139230,016018000,014970100,01405642830,013198530,012451430,011669580,010706040,009822040,009094480,008436450,007739870,007133520,006514640,005938590,00547841840,005091450,004637020,004129140,003753760,003446980,003165270,002898600,002627920,002376060,002150330,001909670,00173764850,001572520,001396560,001267290,001124480,001005540,000914080,000837000,000777780,000718970,000659000,000604590,00054409860,000479960,000412940,361090230,361497930,358696670,353742750,349304480,345193170,339489260,333738710,327536230,31710135870,295606680,253062840,211552230,184738180,152726980,123723960,104832330,101729020,095645900,090504350,082894620,07346221880,064361580,055240830,046829670,040366900,033842170,028733400,024038640,019379770,016061470,012951770,010178210,00801939896,226904383,659047623,531250003,329289433,103392572,822924322,262661961,757548031,356638420,997922080,725179310,51274523900,333912740,213896000,123795710,087624870,087624870,083151170,075859890,068472640,061920800,054870040,048254210,04137010910,034651320,028825670,023602990,021204490,019780370,018623910,017499830,015787700,013928970,012170400,010162330,00806071920,006380980,005140540,004206360,003527560,002881010,002368130,001936880,001595010,001321340,001068970,000850350,00069200930,000559580,000448300,000354800,000277500,000219380,000173560,000133510,102713540,078041840,058843350,043859450,03185553940,023249480,017002860,012520900,008747900,006043870,004106307,668662677,402697507,114814816,998178516,872987486,67013889956,522920206,522920206,522920206,257328996,257328996,257328995,838905785,838905785,838905785,552023125,552023125,55202312965,328710125,328710125,328710125,328710125,328710125,328710124,989610394,989610394,989610394,989610394,989610394,98961039974,844892814,844892814,844892814,844892814,844892814,844892814,844892814,844892814,844892814,844892814,844892814,84489281984,590203114,590203114,590203114,590203114,590203114,590203114,590203114,590203114,590203114,590203114,590203114,59020311994,514688604,514688604,514688604,514688604,514688604,514688604,514688604,514688604,514688604,514688604,514688604,51468860004,144552324,144552324,144552324,144552324,144552324,144552324,144552324,144552324,144552324,144552324,144552324,14455232013,908443543,908443543,908443543,908443543,908443543,908443543,908443543,908443543,908443543,908443543,908443543,90844354023,652091253,652091253,652091253,652091253,652091253,652091253,652091253,652091253,652091253,652091253,652091253,65209125033,343777203,343777203,343777203,343777203,343777203,343777203,343777203,343777203,343777203,343777203,343777203,34377720043,076060853,076060853,076060853,076060853,076060853,076060853,076060853,076060853,076060853,076060853,076060853,07606085052,888721802,888721802,888721802,888721802,888721802,888721802,888721802,888721802,888721802,888721802,888721802,88872180062,758076092,758076092,758076092,758076092,758076092,758076092,758076092,758076092,758076092,758076092,758076092,75807609072,699929732,699929732,699929732,699929732,699929732,699929732,699929732,699929732,699929732,699929732,699929732,69992973082,581989252,581989252,581989252,581989252,581989252,581989252,581989252,581989252,581989252,581989252,581989252,58198925092,423974762,423974762,423974762,423974762,423974762,423974762,423974762,423974762,423974762,423974762,423974762,42397476102,339829482,339829482,339829482,339829482,339829482,339829482,339829482,339829482,339829482,339829482,339829482,33982948112,201719202,201719202,201719202,201719202,201719202,201719202,201719202,201719202,201719202,201719202,201719202,20171920122,083514102,083514102,083514102,083514102,083514102,083514102,083514102,083514102,083514102,083514102,083514102,08351410131,983479611,983479611,983479611,983479611,983479611,983479611,983479611,983479611,983479611,983479611,983479611,98347961141,907646471,907646471,907646471,907646471,907646471,907646471,907646471,907646471,907646471,907646471,907646471,90764647151,808000001,808000001,808000001,808000001,808000001,808000001,808000001,808000001,808000001,808000001,808000001,80800000161,631422511,631422511,631422511,631422511,631422511,631422511,631422511,631422511,631422511,631422511,631422511,63142251171,532508971,532508971,532508971,532508971,532508971,532508971,532508971,532508971,532508971,532508971,532508971,53250897181,494941631,494941631,494941631,494941631,494941631,494941631,494941631,494941631,494941631,494941631,494941631,49494163191,448171881,448171881,448171881,448171881,448171881,448171881,448171881,448171881,448171881,448171881,448171881,44817188201,391524811,391524811,391524811,391524811,391524811,391524811,391524811,391524811,391524811,391524811,391524811,39152481211,320728771,320728771,320728771,320728771,320728771,320728771,320728771,320728771,320728771,320728771,320728771,32072877221,201751641,201751641,201751641,201751641,201751641,201751641,201751641,201751641,201751641,201751641,201751641,20175164231,121424401,121424401,121424401,121424401,121424401,121424401,121424401,121424401,121424401,121424401,121424401,12142440241,086538461,086538461,086538461,086538461,086538461,086538461,086538461,086538461,086538461,086538461,086538461,08653846251,037817401,037817401,037817401,037817401,037817401,037817401,037817401,037817401,037817401,037817401,037817401,03781740261,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000 OBS.: 1) PARA CONVERSÃO DOS DÉBITOS EM REAIS: . multiplicar o coeficiente do mês específico pelo valor original, em moeda da época, e se obterá o valor corrigido (principal + correção monetária) na moeda vigente. 2) VALORES ORIGINAIS: – até 27/02/86, CRUZEIROS, – de 28/02/86 a 15/01/89, CRUZADOS, – de 16/01/89 a 15/03/90, CRUZADOS NOVOS, – de 16/03/90 a 31/07/93, CRUZEIROS, – de 01/08/93 a 30/06/94, CRUZEIROS REAIS, – após 30/06/94, REAIS.