BRF S.A.

PUBLICLY-TRADED COMPANY

CNPJ 01.838.723/0001-27

NIRE 42.300.034.240

CVM 16269-2

ANNOUNCEMENT TO THE MARKET

BRF S.A. ("BRF" or "Company") (B3: BRFS3; NYSE: BRFS) communicates to its shareholders and to the market in general that, on the date hereof, it prepaid a loan agreement with Banco do Brasil, that would mature on August 2021, which principal amount totals R$1 billion.

At the same time, BRF retained a revolving credit facility, also before Banco do Brasil, up to the limit of R$ 1,5 billion, for the next 3 years. The referred credit facility can be disbursed totally or partially, at the Company's will, whenever necessary.

Therefore, the Company continues to act in line with its strategy of extending its average debt maturity, reducing the average cost of its financial indebtedness and maintaining, at the same time, a sustainable short-term liquidity position.

São Paulo, December 27, 2019

Carlos Alberto Bezerra de Moura

Chief Financial and Investor Relations Officer

BRF S.A.

TEXT - 51057950v8 1909.1215

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BRF SA published this content on 27 December 2019 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 27 December 2019 13:00:01 UTC