Company: PBR
Filing Date: 2025-11-07
Form Type: 6-K
Source: 0001292814-25-003845
Chunk: 46

Company: PETROBRAS - PETROLEO BRASILEIRO SA
Filing Date: 2025-11-07
Form: 6-K
Chunk 46
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1% |   6.9% |   7.3% |                             6.6% |      6.8% |              |
| (1) The average maturity of outstanding debt as of September 30, 2025 is 11.36 years (12.52 years as of December 31, 2024). (2) Operations with variable index + fixed spread. (3) Operations with variable index + fixed spread, if applicable. |        |        |        |        |        |                                  |           |              |

On September 30, 2025, the fair value of the Company's
finance debt is mainly determined and categorized into a fair value hierarchy as follows:

| • | Level                                                                                                                                     
 1- quoted prices in active markets for identical liabilities, when applicable, amounting to R$ 72,678 as of September 30, 2025 (R$ 69,193 
 of December 31, 2024); and                                                                                                                |

| • | Level                                                                                                                                
 2 – discounted cash flows based on discount rate determined by interpolating spot rates considering financing debts indexes proxies, 
 taking into account their currencies and also Petrobras’ credit risk, amounting to R$ 73,939 as of September 30, 2025 (R$ 68,356     
 as of December 31, 2024).                                                                                                            |

The sensitivity analysis for financial instruments
subject to foreign exchange variation is set out in note 26.4.1.

A maturity schedule of the Company’s finance
debt (undiscounted), including face value and interest payments is set out as follows:

|                                                 |       |        |        |        |        |              |            | Consolidated |
| Maturity                                        |  2025 |   2026 |   2027 |   2028 |   2029 | 2030 onwards | 09.30.2025 |   12.31.2024 |
| Principal                                       | 2,660 | 10,602 | 12,455 | 10,371 | 10,959 |      103,180 |    150,227 |      145,353 |
| Interest                                        | 2,346 | 11,133 | 10,163 |  9,219 |  8,948 |       84,299 |    126,108 |      126,247 |
| Total (