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The derivative financial instruments designated as cash flow hedges for foreing exchange operating income exposure on December 31, 2021 are set forth below: (Details)
R$ in Thousands
12 Months Ended
Dec. 31, 2021
BRL (R$)
Number
IfrsStatementLineItems [Line Items]  
Notional R$ 3,300,000
Derivative instrument, Fair value (30,108)
Cash flow hedges [member]  
IfrsStatementLineItems [Line Items]  
Derivative instrument, Fair value R$ (1,283)
Cash flow hedges [member] | Non-deliverable forward [member]  
IfrsStatementLineItems [Line Items]  
Assets  USD 
Liabilities  TRY 
Maturity  1st Qtr. 2022 
Average rate | Number 13.9818
Derivative instrument, Fair value R$ (1,283)
Currency risk [member] | Non-designated as hedge [member]  
IfrsStatementLineItems [Line Items]  
Derivative instrument, Fair value R$ (231,119)
Currency risk [member] | Non-designated as hedge [member] | Non-deliverable forward [member]  
IfrsStatementLineItems [Line Items]  
Assets  EUR 
Liabilities  BRL 
Maturity 1st Qtr. 2022
Notional R$ 265,000
Average rate | Number 6.5766
Derivative instrument, Fair value R$ (46,336)
Currency risk [member] | Non-designated as hedge [member] | Nondeliverable Forward [Member]  
IfrsStatementLineItems [Line Items]  
Assets  USD 
Liabilities  BRL 
Maturity 1st Qtr. 2022
Notional R$ 935,928
Average rate | Number 5.8088
Derivative instrument, Fair value R$ (151,493)
Currency risk [member] | Non-designated as hedge [member] | Futures B 3 [Member]  
IfrsStatementLineItems [Line Items]  
Assets  USD 
Liabilities  BRL 
Maturity 1st Qtr. 2022
Notional R$ 279,000
Average rate | Number 5.6169
Derivative instrument, Fair value R$ (34,613)
Currency risk [member] | Non-designated as hedge [member] | Nondeliverable Forward Two [Member]  
IfrsStatementLineItems [Line Items]  
Assets  EUR 
Liabilities  JPY 
Maturity 1st Qtr. 2022
Notional R$ 19,491
Average rate | Number 128.2633
Derivative instrument, Fair value R$ 2,054
Currency risk [member] | Non-designated as hedge [member] | Nondeliverable Forward Three [Member]  
IfrsStatementLineItems [Line Items]  
Assets  USD 
Liabilities  EUR 
Maturity 1st Qtr. 2022
Notional R$ 40,669
Average rate | Number 1.1311
Derivative instrument, Fair value R$ (731)
Currency risk [member] | Cash flow hedges [member]  
IfrsStatementLineItems [Line Items]  
Derivative instrument, Fair value R$ 3,964
Currency risk [member] | Cash flow hedges [member] | Non-deliverable forward [member]  
IfrsStatementLineItems [Line Items]  
Assets  BRL 
Liabilities  USD 
Maturity 1st Qtr. 2022
Notional R$ 261,000
Average rate | Number 5.6261
Derivative instrument, Fair value R$ 1,392
Hedged object  USD Exports 
Currency risk [member] | Cash flow hedges [member] | Nondeliverable Forward [Member]  
IfrsStatementLineItems [Line Items]  
Assets  BRL 
Liabilities  USD 
Maturity 2nd Qtr. 2022
Notional R$ 23,000
Average rate | Number 5.7978
Derivative instrument, Fair value R$ 1,569
Hedged object  USD Exports 
Currency risk [member] | Cash flow hedges [member] | Collar [Member]  
IfrsStatementLineItems [Line Items]  
Assets  BRL 
Liabilities  USD 
Maturity 1st Qtr. 2022
Notional R$ 35,000
Average rate | Number 5.7164
Derivative instrument, Fair value R$ 878
Hedged object  USD Exports 
Currency risk [member] | Cash flow hedges [member] | Collar One [Member]  
IfrsStatementLineItems [Line Items]  
Assets  BRL 
Liabilities  USD 
Maturity 2nd Qtr. 2022
Notional R$ 30,000
Average rate | Number 5.8056
Derivative instrument, Fair value R$ 35
Hedged object  USD Exports 
Currency risk [member] | Cash flow hedges [member] | Collar Two [Member]  
IfrsStatementLineItems [Line Items]  
Assets  BRL 
Liabilities  USD 
Maturity 3rd Qtr. 2022
Notional R$ 10,000
Average rate | Number 6.0750
Derivative instrument, Fair value R$ 90
Hedged object  USD Exports 
Currency risk [member] | Hedges of net investment in foreign operations [member]  
IfrsStatementLineItems [Line Items]  
Non-derivative instrument, fair value R$ (441,229) [1]
Currency risk [member] | Hedges of net investment in foreign operations [member] | Bond B R F S A B R F S B Z 4 [Member]  
IfrsStatementLineItems [Line Items]  
Liabilities  USD 
Maturity 3rd Qtr. 2026
Notional R$ 75,673
Average rate | Number 3.7649
Proctection (Investment) Federal Foods LLC
Non-derivative instrument, fair value R$ (138,080) [1]
Currency risk [member] | Hedges of net investment in foreign operations [member] | Bond B R F S A B R F S B Z 4 One [Member]  
IfrsStatementLineItems [Line Items]  
Liabilities  USD 
Maturity 3rd Qtr. 2026
Notional R$ 108,757
Average rate | Number 3.7649
Proctection (Investment) BRF Kuwait WLL
Non-derivative instrument, fair value R$ (184,667) [1]
Currency risk [member] | Hedges of net investment in foreign operations [member] | Bond B R F S A B R F S B Z 4 Two [Member]  
IfrsStatementLineItems [Line Items]  
Liabilities  USD 
Maturity 3rd Qtr. 2026
Notional R$ 65,570
Average rate | Number 3.7649
Proctection (Investment) Al Khan Foodstuff LLC
Non-derivative instrument, fair value R$ (118,482) [1]
[1] Corresponds to the effective portion of the hedge result accumulated in Other Comprehensive Income.