Company: PBR
Filing Date: 2025-02-27
Form Type: 6-K
Source: 0001292814-25-000670
Chunk: 127

Company: PETROBRAS - PETROLEO BRASILEIRO SA
Filing Date: 2025-02-27
Form: 6-K
Chunk 127
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 interest |
| Changes in finance debt                                          |                     12,027 |                -36,418 |               -10,375 |                     10,716 |                -21,168 |                -9,796 |
| Repurchase of debt securities                                    |                          − |                     46 |                     − |                          − |                    382 |                     − |
| Deposits linked to finance debt (1)                              |                          − |                    439 |                    99 |                          − |                   -294 |                  -104 |
| Net cash used in financing activities                            |                     12,027 |                -35,933 |               -10,276 |                     10,716 |                -21,080 |                -9,900 |
| (1) Deposits linked to finance debt with China Development Bank, 
 with semiannual settlements in June and December.                |                            |                        |                       |                            |                        |                       |

In 2024, the Company:

| · | Repaid several finance debts, in the amount of R$ 46,209, notably the repurchase and withdrawal of R$                                  
 14,584 of securities in the international capital market, and the pre-payment of R$ 1,282 of loan in the international banking market; 
 and                                                                                                                                    |

| · | Raised R$ 12,027, notably the issuance of Global Notes in the international capital market in the amount 
 of R$ 5,421, maturing in 2035, and proceeds in the domestic banking market, in the amount of R$ 6,449.   |

| 30.4. | Summarized information on current and non-current finance debt |

|                                                                                                                           |     |        |        |        |        |        |                                  |           | Consolidated |            |
| Maturity in                                                                                                               |     |   2025 |   2026 |   2027 |   2028 |   2029 | 2030                     onwards | Total (1) |              | Fair Value |
| Financing in U.S. Dollars (US$):                                                                                          |     | 13,509 |  9,063 | 13,288 |  9,564 |  3,724 |                           52,607 |   101,755 |              |     98,748 |
| Floating rate debt (2)                                                                                                    |     | 12,121 |  6,953 |  9