Você está em: Legislação > Comunicado DICAR 92 de 2021 Pesquisa de Opinião Hidden > Compartilhar: Cancelar OK Compartilhar Caderno . Compartilhar: Cancelar OK Busca Avançada Atos Publicados recentemente Ato Data Publicação + Veja mais Atos mais consultados Ato Visualizações + Veja mais RCs Publicados recentemente Ato Data Publicação + Veja mais Indivídual Caderno Audio do Texto Notas Redações anteriores Imprimir Grupo Anexos Novo Ato Nome Comunicado DICAR 92 de 2021 Tipo Subtipo Comunicados DICAR/DA Nº do Ato Data do Ato Data da Publicação 92 17/12/2021 18/12/2021 Data de Republicação Data da Revogação Envio Informativo Destaques do DOE Não Não Ano da Formulação Ementa Divulga Tabela Prática para Atualização dos Débitos Fiscais relativos ao IPVA, por meio da UFESP mensal, aplicável no período de 1º de janeiro a 31 de dezembro de 2022 Observação 200 caracteres restantes. Conteúdo Última atualização em: 28/12/2021 04:00 Conteúdo da PáginaCOMUNICADO DICAR-92, DE 17-12-2021(DOE 18-12-2021) Divulga Tabela Prática para Atualização dos Débitos Fiscais relativos ao IPVA, por meio da UFESP mensal, aplicável no período de 1º de janeiro a 31 de dezembro de 2022 O Diretor Substituto de Arrecadação, Cobrança e Recuperação de Dívida divulga a Tabela Prática para Atualização dos Débitos Fiscais relativos ao IPVA, por meio da UFESP mensal, aplicável no período de 1º de janeiro a 31 de dezembro de 2022. TABELA PRÁTICA PARA ATUALIZAÇÃO MONETÁRIA DE DÉBITOS FISCAIS RELATIVOS AO IPVA ANEXA AO COMUNICADO DICAR92, DE 17/12/2021ANOJANEIROFEVEREIROMARÇOABRILMAIOJUNHOJULHO AGOSTOSETEMBROOUTUBRONOVEMBRODEZEMBRO910,008360690,006955070,005694940,005116230,004772620,004493590,004222370,003809270,003360790,002936480,002451970,00194489920,001539610,001240310,001014910,000851130,000695130,000571380,000467330,000384850,000318810,000257920,000205170,00016697930,000135020,000108170,000085610,000066960,000052930,000041880,000032210,024782780,018829980,014197760,010582430,00768612940,005609650,004102460,003021050,002110700,001458270,000990771,850299401,786127171,716666671,688524591,658318431,60937500951,573853991,573853991,573853991,509771991,509771991,509771991,408814591,408814591,408814591,339595381,339595381,33959538961,285714291,285714291,285714291,285714291,285714291,285714291,203896101,203896101,203896101,203896101,203896101,20389610971,168978561,168978561,168978561,168978561,168978561,168978561,168978561,168978561,168978561,168978561,168978561,16897856981,107526881,107526881,107526881,107526881,107526881,107526881,107526881,107526881,107526881,107526881,107526881,10752688991,089306701,089306701,089306701,089306701,089306701,089306701,089306701,089306701,089306701,089306701,089306701,08930670001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000011,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000021,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000031,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000041,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000051,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000061,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000071,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000081,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000091,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000101,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000111,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000121,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000131,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000141,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000151,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000161,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000171,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000181,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000191,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000201,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000211,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000221,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000OBS.: 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) APÓS ATUALIZAR MONETARIAMENTE O DÉBITO FISCAL, CALCULAR OS JUROS DE MORA DEVIDOS 3) 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 Comentário