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LOANS, FINANCING AND DEBENTURES - Relevant transactions settled in the year (Details)
R$ in Thousands, $ in Thousands
12 Months Ended
Dec. 27, 2021
USD ($)
Jul. 27, 2021
USD ($)
Jul. 26, 2021
USD ($)
Jul. 26, 2021
BRL (R$)
Mar. 08, 2021
USD ($)
Feb. 09, 2021
BRL (R$)
Aug. 13, 2020
BRL (R$)
Dec. 31, 2021
BRL (R$)
Dec. 31, 2020
BRL (R$)
Dec. 31, 2019
BRL (R$)
Dec. 27, 2021
BRL (R$)
Jul. 26, 2021
BRL (R$)
Mar. 08, 2021
BRL (R$)
LOANS, FINANCING AND DEBENTURES                          
Transaction costs               R$ 3,993 R$ 13,782        
Payment of interest               R$ 2,953,573 R$ 3,244,949 R$ 2,977,957      
Early settlement of financing with BNDES | BNDES                          
LOANS, FINANCING AND DEBENTURES                          
Principle amount           R$ 1,454,025              
Transaction costs           24,097              
Premium payments           R$ 32,933              
Early settlement of financing with BNDES | BNDES | SELIC                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis           SELIC + 3% p.a.              
Basis spread (as a percent)           3.00%              
Early settlement of financing with BNDES | BNDES | TJLP                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis           TJLP + 2%              
Basis spread (as a percent)           2.00%              
Partial settlement of export prepayment agreements | Export Prepayment Agreements ("EPP") | Suzano Pulp and Paper Europe S.A.                          
LOANS, FINANCING AND DEBENTURES                          
Principle amount         $ 1,666,848               R$ 9,558,205
Partial settlement of export prepayment agreements | Export Prepayment Agreements ("EPP") | Suzano Pulp and Paper Europe S.A. | LIBOR                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis         1.15% p.a. plus quarterly LIBOR                
Basis spread (as a percent)         1.15%               1.15%
Extension of debt maturity date of export prepayment agreement | Export Prepayment Agreements ("EPP") | Suzano International Trade GmbH                          
LOANS, FINANCING AND DEBENTURES                          
Principle amount $ 750,000                   R$ 2,910,975    
Extension of debt maturity date of export prepayment agreement | Export Prepayment Agreements ("EPP") | Suzano International Trade GmbH | LIBOR                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis Libor + 1.15% p.a.                        
Basis spread (as a percent) 1.15%                   1.15%    
Total Repurchase of 2024 Notes | 2024 Notes | Fibria Overseas Finance Ltd.                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate     5.25%                 5.25%  
Principle amount     $ 352,793                 R$ 1,829,690  
Percentage of principal amount repurchased     100.00% 100.00%                  
Premium payments     $ 43,781 R$ 227,063                  
Payment of interest     $ 3,807 R$ 19,745                  
Total Repurchase of 2024 Notes | 2024 Notes | Fibria Overseas Finance Ltd. | Treasury rate                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis     treasury rate plus 0.40% treasury rate plus 0.40%                  
Basis spread (as a percent)     0.40%                 0.40%  
Early Settlement of the Export Prepayment Agreement | Export Prepayment Agreements ("EPP") | Suzano Pulp and Paper Europe S.A.                          
LOANS, FINANCING AND DEBENTURES                          
Debt instrument term   24 months                      
Transaction amount settled   $ 333,152         R$ 1,721,364            
Early Settlement of the Export Prepayment Agreement | Export Prepayment Agreements ("EPP") | Suzano Pulp and Paper Europe S.A. | LIBOR                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis   Libor + 1.15% p.a.                      
Basis spread (as a percent)   1.15%