Grupo Aeroportuario del Pacifico, S.A.B. de C.V. informs that during the month of May it made the prepayment of the loans it had contracted with Scotiabank and BBVA for MXN 1.0 billion each, with original maturity in July 2021 and May 2022, respectively. These loans were contracted at the beginning of the pandemic, between April and May 2020, for general corporate purposes. The payment to Scotiabank was made with the resources obtained from the last issuance of bond certificates, as reported on May 7, 2021, while the payment to BBVA was made with own resources.