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Schedule of loan and financing (Details) - BRL (R$)
R$ in Thousands
9 Months Ended 12 Months Ended
Sep. 30, 2021
Dec. 31, 2020
Dec. 31, 2019
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Loan and financing beginning of period R$ 22,404,426 R$ 18,620,279  
Borrowing 1,831,117 10,420,333  
Business combination [1] 118,115    
Amortization (980,677) (10,247,359)  
Interest paid (1,021,601) (1,421,539)  
Interest accrued 1,213,759 1,535,916  
Exchange rate variation 613,463 3,496,796  
Loan and financing end of period 24,178,602 22,404,426  
Loan and financing end of period 24,178,602 22,404,426 R$ 18,620,279
Current 2,861,250 1,059,984 3,132,029
Non-current R$ 21,317,352 21,344,442 15,488,250
Debenture [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Rate IPCA + 4.78% p.a.    
Maturity 05.14.31    
Series 1st Series    
Issue date 06.02.21    
Notional R$ 1,000,000    
Updated Value 1,018,992    
Local Currency [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Loan and financing beginning of period 6,665,292 7,613,755  
Borrowing 1,329,249 4,889,205  
Business combination 55,412    
Amortization (447,720) (6,208,113)  
Interest paid (262,948) (597,232)  
Interest accrued 476,462 590,448  
Exchange rate variation 96,641 377,229  
Loan and financing end of period 7,912,388 6,665,292  
Loan and financing end of period R$ 7,912,388 R$ 6,665,292 7,613,755
Local Currency [Member] | Working capital [membe]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed / CDI   Fixed / CDI   
Rate [2]  5.36% (3.25% on 12.31.20)   3.25% (6.07% on 12.31.19)   
Maturity [3]  1.0   0.6  
Loan and financing beginning of period R$ 368,681 R$ 3,312,639  
Borrowing 300,000 1,200,000  
Business combination 25,950    
Amortization (364,451) (3,947,237)  
Interest paid (11,466) (340,227)  
Interest accrued 8,764 143,506  
Exchange rate variation (0)    
Loan and financing end of period 327,478 368,681  
Loan and financing end of period R$ 327,478 R$ 368,681 3,312,639
Local Currency [Member] | Certificate Of Agribusiness Receivables [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.) [4]  IPCA   CDI / IPCA   
Rate [2],[4]  15.58% (10.21% on 12.31.20)   10.21% (6.73% on 12.31.19)   
Maturity [3],[4]  2.2   3.0  
Loan and financing beginning of period [4] R$ 821,093 R$ 1,597,447  
Amortization [4]   (780,000)  
Interest paid [4] 95 (100,932)  
Interest accrued [4] 100,446 104,578  
Loan and financing end of period [4] 921,634 821,093  
Loan and financing end of period [4] R$ 921,634 R$ 821,093 1,597,447
Local Currency [Member] | Development Bank Credit Lines [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  TJLP / TLP/ IPCA / FINAME   Fixed / Selic / TJLP   
Rate [2]  3.13%   (5.09% on 12.31.19)   
Maturity [3]  6.1    
Loan and financing beginning of period R$ (0) R$ 45,516  
Business combination 9,006    
Amortization (344) (45,470)  
Interest paid   (427)  
Interest accrued 14 381  
Loan and financing end of period 8,676 (0)  
Loan and financing end of period R$ 8,676 R$ (0) 45,516
Local Currency [Member] | Debentures [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  CDI / IPCA   CDI / IPCA   
Rate [2]  14.36% (8.28% on 12.31.20)   8.28% (7.40% on 12.31.19)   
Maturity [3]  7.6   7.7  
Loan and financing beginning of period R$ 3,022,005 R$ 755,760  
Borrowing 965,549 2,124,725  
Interest paid (143,009) (38,339)  
Interest accrued 282,313 179,859  
Loan and financing end of period 4,126,858 3,022,005  
Loan and financing end of period R$ 4,126,858 R$ 3,022,005 755,760
Local Currency [Member] | Export Credit Facility [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.) [1]  Fixed / CDI / FX USD   Fixed / CDI / USD   
Rate [1],[2]  8.40% (3.69% on 12.31.20)   3.69% (5.83% on 12.31.19)   
Maturity [1],[3]  1.2   6.8  
Loan and financing beginning of period [1] R$ 2,408,697 R$ 1,612,365  
Borrowing [1]   1,490,809  
Business combination [1] 20,456    
Amortization [1] (524) (1,113,176)  
Interest paid [1] (107,941) (111,498)  
Interest accrued [1] 84,278 152,968  
Exchange rate variation [1] 96,641 377,229  
Loan and financing end of period [1] 2,501,607 2,408,697  
Loan and financing end of period [1] R$ 2,501,607 R$ 2,408,697 1,612,365
Local Currency [Member] | Fiscal Incentives [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed   Fixed   
Rate [2]  2.40% (2.40% on 12.31.20)   2.40% (2.40% on 12.31.19)   
Loan and financing beginning of period R$ 44,816 R$ 5,720  
Borrowing 63,700 73,671  
Amortization (82,401) (34,609)  
Interest paid (627) (667)  
Interest accrued 647 701  
Loan and financing end of period 26,135 44,816  
Loan and financing end of period 26,135 R$ 44,816 5,720
Local Currency [Member] | Special Program Asset Restructuring [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)    IGPM   
Rate [2]    (12.22% on 12.31.19)   
Loan and financing beginning of period [1] R$ 284,308  
Amortization   (287,621)  
Interest paid   (5,142)  
Interest accrued   8,455  
Loan and financing end of period [1]    
Loan and financing end of period   [1] 284,308
Foreign Currency [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Loan and financing beginning of period 15,739,134 11,006,524  
Borrowing 501,868 5,531,128  
Business combination [1] 62,703    
Amortization (532,957) (4,039,246)  
Interest paid (758,653) (824,307)  
Interest accrued 737,297 945,468  
Exchange rate variation 516,822 3,119,567  
Loan and financing end of period 16,266,214 15,739,134  
Loan and financing end of period R$ 16,266,214 R$ 15,739,134 11,006,524
Foreign Currency [Member] | Working capital [membe]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed / FX TRY and USD   Fixed / TRY   
Rate [2]  13.64% (10.98% on 12.31.20)   10.98% (16.56% on 12.31.19)   
Maturity [3]  1.8   1.2  
Loan and financing beginning of period R$ 516,505 R$ 191,765  
Borrowing 252,868 718,956  
Business combination [1] 29,555    
Amortization (84,548) (381,502)  
Interest paid (48,160) (42,742)  
Interest accrued 61,976 46,704  
Exchange rate variation (71,560) (16,676)  
Loan and financing end of period 656,636 516,505  
Loan and financing end of period R$ 656,636 R$ 516,505 191,765
Foreign Currency [Member] | Export Credit Facility [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed / LIBOR / FX USD   Fixed / LIBOR / USD   
Rate [2]  3.50% (3.13% on 12.31.20)   3.13% (5.77% on 12.31.19)   
Maturity [3]  1.6   2.2  
Loan and financing beginning of period R$ 392,636 R$ 407,275  
Business combination [1] 30,476    
Amortization (135,668) (118,113)  
Interest paid (6,649) (20,686)  
Interest accrued 7,807 17,627  
Exchange rate variation 18,300 106,533  
Loan and financing end of period 306,902 392,636  
Loan and financing end of period R$ 306,902 R$ 392,636 407,275
Foreign Currency [Member] | Bond [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed / FX USD and EUR   Fixed / USD / EUR   
Rate [2]  4.82% (4.81% on 12.31.20)   4.81% (4.36% on 12.31.19)   
Maturity [3]  11.7 12.4  
Loan and financing beginning of period R$ 14,829,993 R$ 10,407,484  
Borrowing   4,282,961  
Amortization (312,741) (3,010,421)  
Interest paid (703,844) (760,879)  
Interest accrued 667,042 881,137  
Exchange rate variation 560,242 3,029,711  
Loan and financing end of period 15,040,692 14,829,993  
Loan and financing end of period R$ 15,040,692 R$ 14,829,993 10,407,484
Foreign Currency [Member] | Advances For Foreign Exchange Rate Contracts [Member]      
DisclosureOfLoansAndFinancingLineItems [Line Items]      
Charges (p.a.)  Fixed / FX USD   Fixed / USD   
Rate [2] 1.32%    
Maturity [3]  0.4    
Loan and financing beginning of period R$ (0) R$ (0)  
Borrowing 249,000 529,211  
Business combination [1] 2,672    
Amortization   (529,210)  
Interest accrued 472    
Exchange rate variation 9,840 (1)  
Loan and financing end of period 261,984 (0)  
Loan and financing end of period R$ 261,984 R$ (0) R$ (0)
[1] The Export Credit Facility was issued in Reais simultaneously and in connection with a foreign exchange rate swap, resulting essentially in a net cash flow in U.S. Dollars. As the transactions are inseparable, both are recorded together under Loans and Borrowings by their amortized cost.
[2] Weighted average annual rate.
[3] Weighted average maturity in years.
[4] The Certificates of Agribusiness Receivables (“CRA”) issued by the Company are backed by receivables of BRF S.A. from certain subsidiaries abroad.