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LOANS, FINANCING AND DEBENTURES - Relevant transactions settled in the year (Details)
R$ in Thousands, $ in Thousands
1 Months Ended
Dec. 28, 2023
Dec. 14, 2023
BRL (R$)
Oct. 30, 2023
Oct. 20, 2023
Aug. 25, 2023
USD ($)
Aug. 25, 2023
BRL (R$)
Aug. 15, 2023
BRL (R$)
Aug. 09, 2023
BRL (R$)
Jun. 27, 2023
Jun. 22, 2023
BRL (R$)
Dec. 22, 2022
USD ($)
Dec. 22, 2022
USD ($)
Dec. 22, 2022
BRL (R$)
Funds raised from BNDES | 5.23% BNDES, Due December 2037 [Member] | TLP                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis                 Long-Term Rate ("TLP"), plus a fixed interest rate of 5.23% p.a.        
Borrowings, adjustment to interest rate basis                 5.23%        
Funds raised from BNDES | 6.97% BNDES, Due December 2037 [Member] | TLP                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis       BNDES indexed by the Long-Term Rate (“TLP”) interest rate, plus fixed interest of 6.97% p.a.                  
Borrowings, adjustment to interest rate basis       6.97%                  
Funds raised from BNDES | 7.11% BNDES, Due October 2042 [Member] | TLP                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis     BNDES indexed by the Long-Term Rate (“TLP”) interest rate, plus fixed interest of 7.11% p.a.                    
Borrowings, adjustment to interest rate basis     7.11%                    
Funds raised from BNDES | 7.41% BNDES, Due December 2043 [Member] | TLP                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis BNDES indexed by the Long-Term Rate (“TLP”) interest rate, plus fixed interest of 7.41% p.a.                        
Borrowings, adjustment to interest rate basis 7.41%                        
Sustainability Linked Loan ("SLL") | International Finance Corporation (IFC) A-Loan                          
LOANS, FINANCING AND DEBENTURES                          
IFRS Debt Instrument Term                     8 years    
Maximum borrowing capacity                     $ 250,000 $ 250,000 R$ 1,204,800
Sustainability Linked Loan ("SLL") | International Finance Corporation (IFC) A-Loan | SOFR                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis                       Term SOFR + 1.80% p.a.  
Borrowings, adjustment to interest rate basis                     1.80% 1.80% 1.80%
Export Prepayment Agreements ("EPP") | Bank JP Morgan [Member] | June 2024                          
LOANS, FINANCING AND DEBENTURES                          
Transaction amount settled         $ 118,653 R$ 587,333              
Export Prepayment Agreements ("EPP") | Bank JP Morgan [Member] | SOFR                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis         Term SOFR 6M + 1.93% p.a. Term SOFR 6M + 1.93% p.a.              
Export Prepayment Agreements ("EPP") | Bank JP Morgan [Member] | SOFR | June 2024                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis         pre-fixed rate in reais of 7.70% p.a. pre-fixed rate in reais of 7.70% p.a.              
Borrowings, adjustment to interest rate basis         7.70% 7.70%              
CRA contract | IPCA [Member]                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis   IPCA + 6.1346% p.a.         IPCA + 5.9844% p.a.     IPCA + 5.9844% p.a.      
Maximum borrowing capacity   R$ 741,228         R$ 561,502     R$ 685,239      
Borrowings, adjustment to interest rate basis   6.1346%         5.9844%     5.9844%      
Rural Credit Note [Member] | CDI | June 2026 [Member]                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis               CDI + 0.99% p.a.          
Borrowings, adjustment to interest rate basis               0.99%          
Rural Credit Note [Member] | CDI | August 2026 [Member]                          
LOANS, FINANCING AND DEBENTURES                          
Interest rate basis               CDI + 1.03% p.a.          
Borrowings, adjustment to interest rate basis               1.03%          
Rural Credit Note [Member] | Banco Safra [Member] | CDI                          
LOANS, FINANCING AND DEBENTURES                          
Maximum borrowing capacity               R$ 1,616,500