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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/27/24 JBS S.A. 20-F 12/31/23 198:43M EdgarAgents LLC/FA |
Document/Exhibit Description Pages Size 1: 20-F Annual Report HTML 6.80M 2: EX-2.1 Registration Rights Agreement, Dated as of HTML 125K September 19, 2023, by and Between Jbs Usa Lux S.A., and Bmo Capital Markets Corp., as Representative on Behalf of Certain Initial Purchasers 7: EX-2.10 Second Supplemental Indenture, Dated as of HTML 76K December 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 3.000% Senior Notes Due 2029 8: EX-2.11 Third Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 3.000% Senior Notes Due 2029 9: EX-2.15 Third Supplemental Indenture, Dated as of December HTML 76K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 6.500% Senior Notes Due 2029 10: EX-2.16 Fourth Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 6.500% Senior Notes Due 2029 11: EX-2.20 Third Supplemental Indenture, Dated as of December HTML 76K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 5.500% Senior Notes Due 2030 12: EX-2.21 Fourth Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 5.50% Senior Notes Due 2030 13: EX-2.24 Second Supplemental Indenture, Dated as of HTML 76K December 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 3.750% Senior Notes Due 2031 14: EX-2.25 Third Supplemental Indenture, Dated as of January HTML 67K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 3.750% Senior Notes Due 2031 15: EX-2.27 First Supplemental Indenture, Dated as of December HTML 76K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 3.625% Sustainability-Linked Senior Notes Due 2032 16: EX-2.28 Second Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 3.625% Sustainability-Linked Senior Notes Due 2032 3: EX-2.3 First Supplemental Indenture, Dated as of December HTML 76K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 2.500% Senior Notes Due 2027 17: EX-2.31 Second Supplemental Indenture, Dated as of HTML 78K December 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 3.000% Sustainability-Linked Senior Notes Due 2032 18: EX-2.32 Third Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 3.000% Sustainability-Linked Senior Notes Due 2032 19: EX-2.34 First Supplemental Indenture, Dated as of December HTML 75K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 5.750% Senior Notes Due 2033 20: EX-2.35 Second Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 5.750% Senior Notes Due 2033 21: EX-2.36 Indenture, Dated as of September 19, 2023, Among HTML 911K Jbs Usa Lux S.A., Jbs Usa Food Company, Jbs Luxembourg S.A R.L., as Issuers, Each of the Guarantors Party Thereto, and Regions Bank, as Trustee 22: EX-2.37 First Supplemental Indenture, Dated as of January HTML 65K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 6.750% Senior Notes Due 2034 4: EX-2.4 Second Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 2.500% Senior Notes Due 2027 23: EX-2.40 Second Supplemental Indenture, Dated as of HTML 77K December 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 4.375% Senior Notes Due 2052 24: EX-2.41 Third Supplemental Indenture, Dated as of January HTML 65K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 4.375% Senior Notes Due 2052 25: EX-2.43 First Supplemental Indenture, Dated as of December HTML 76K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 6.500% Senior Notes Due 2052 26: EX-2.44 Second Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 6.500% Senior Notes Due 2052 27: EX-2.45 Indenture, Dated as of September 19, 2023, Among HTML 906K Jbs Usa Lux S.A., Jbs Usa Food Company, Jbs Luxembourg S.A R.L., as Issuers, Each of the Guarantors Party Thereto, and Regions Bank, as Trustee 28: EX-2.46 First Supplemental Indenture, Dated as of January HTML 65K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 7.250% Senior Notes Due 2053 5: EX-2.6 First Supplemental Indenture, Dated as of December HTML 77K 13, 2023, by and Among Jbs Usa Lux S.A., Jbs Luxembourg S.A R.L., and Regions Bank, as Trustee, Relating to 5.125% Senior Notes Due 2028 6: EX-2.7 Second Supplemental Indenture, Dated as of January HTML 66K 11, 2024, Between Jbs Usa Holding Lux S.A R.L., and Regions Bank, as Trustee, Relating to 5.125% Senior Notes Due 2028 29: EX-4.3 Supplement, Borrower Assumption and Technical HTML 78K Amendment, Dated as of January 19, 2024, by and Among Jbs Usa Lux S.A., Jbs Usa Food Company, Jbs Usa Finance, Inc., Jbs Australia Pty Limited, Jbs Food Canada Ulc, the Other Borrowers 30: EX-8.1 List of Subsidiaries of the Registrant HTML 131K 34: EX-13.1 Annual or Quarterly Report to Security Holders HTML 59K 31: EX-11.1 Code of Ethics (English Translation) HTML 87K 32: EX-12.1 Statement re: the Computation of Ratios HTML 62K 33: EX-12.2 Statement re: the Computation of Ratios HTML 62K 40: R1 Document And Entity Information HTML 129K 41: R2 Consolidated Statements of Financial Position HTML 183K 42: R3 Consolidated Statements of Income HTML 115K 43: R4 Consolidated Statements of Income (Parentheticals) HTML 61K 44: R5 Consolidated Statements of Comprehensive Income HTML 99K 45: R6 Consolidated Statements of Changes in Equity HTML 170K 46: R7 Consolidated Statements of Cash Flows HTML 198K 47: R8 Background Information HTML 95K 48: R9 Basis of Preparation HTML 84K 49: R10 Cash and Cash Equivalents and Margin Cash HTML 69K 50: R11 Trade Accounts Receivable HTML 78K 51: R12 Inventories HTML 70K 52: R13 Biological Assets HTML 104K 53: R14 Recoverable Taxes HTML 70K 54: R15 Related Party Transactions HTML 77K 55: R16 Income Taxes HTML 172K 56: R17 Property, Plant and Equipment HTML 124K 57: R18 Leases HTML 137K 58: R19 Intangible Assets HTML 111K 59: R20 Goodwill HTML 129K 60: R21 Trade Accounts Payable HTML 73K 61: R22 Loans and Financing HTML 394K 62: R23 Income and Other Taxes Payable HTML 69K 63: R24 Payroll and social charges HTML 68K 64: R25 Dividends Payable HTML 69K 65: R26 Provisions for Legal Proceedings HTML 113K 66: R27 Equity HTML 91K 67: R28 Net Revenue HTML 73K 68: R29 Net Finance Expense HTML 69K 69: R30 Earnings Per Share HTML 67K 70: R31 Share-Based Compensation HTML 77K 71: R32 Operating Segments HTML 118K 72: R33 Expenses by Nature HTML 76K 73: R34 Risk Management and Financial Instruments HTML 494K 74: R35 Subsequent events HTML 61K 75: R36 Accounting Policies, by Policy (Policies) HTML 88K 76: R37 Background Information (Tables) HTML 93K 77: R38 Cash and Cash Equivalents and Margin Cash (Tables) HTML 66K 78: R39 Trade Accounts Receivable (Tables) HTML 76K 79: R40 Inventories (Tables) HTML 71K 80: R41 Biological Assets (Tables) HTML 95K 81: R42 Recoverable Taxes (Tables) HTML 66K 82: R43 Related Party Transactions (Tables) HTML 71K 83: R44 Income Taxes (Tables) HTML 160K 84: R45 Property, Plant and Equipment (Tables) HTML 120K 85: R46 Leases (Tables) HTML 140K 86: R47 Intangible Assets (Tables) HTML 110K 87: R48 Goodwill (Tables) HTML 99K 88: R49 Trade Accounts Payable (Tables) HTML 72K 89: R50 Loans and Financing (Tables) HTML 391K 90: R51 Income and Other Taxes Payable (Tables) HTML 67K 91: R52 Payroll and social charges (Tables) HTML 66K 92: R53 Dividends Payable (Tables) HTML 68K 93: R54 Provisions for Legal Proceedings (Tables) HTML 92K 94: R55 Equity (Tables) HTML 85K 95: R56 Net Revenue (Tables) HTML 69K 96: R57 Net Finance Expense (Tables) HTML 69K 97: R58 Earnings Per Share (Tables) HTML 66K 98: R59 Share-Based Compensation (Tables) HTML 73K 99: R60 Operating Segments (Tables) HTML 113K 100: R61 Expenses by Nature (Tables) HTML 75K 101: R62 Risk Management and Financial Instruments (Tables) HTML 485K 102: R63 Background Information (Details) - Schedule of HTML 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Recoverable Taxes (Details) - Schedule of HTML 75K Recoverable Taxes 114: R75 Related Party Transactions (Details) HTML 97K 115: R76 Related Party Transactions (Details) - Schedule of HTML 69K Related Party Receivable 116: R77 Related Party Transactions (Details) - Schedule of HTML 67K Aggregate Amount of Compensation Received by Company?s key Management 117: R78 Income Taxes (Details) HTML 79K 118: R79 Income Taxes (Details) - Schedule of Deferred HTML 66K Taxes Assets and Liabilities 119: R80 Income Taxes (Details) - Schedule of Deferred Tax HTML 187K Income and Social Contribution 120: R81 Income Taxes (Details) - Schedule of Income Tax HTML 106K and Social Contribution Expense 121: R82 Property, Plant and Equipment (Details) HTML 77K 122: R83 Property, Plant and Equipment (Details) - Schedule HTML 118K of Several Purchase Commitments for Machinery and Equipment, Vehicles and Construction in Progress 123: R84 Property, Plant and Equipment (Details) - Schedule HTML 232K of Changes in Property, Plant and Equipment 124: R85 Leases (Details) HTML 60K 125: R86 Leases (Details) - Schedule of Right of Use Asset HTML 108K 126: R87 Leases (Details) - Schedule of Changes in Right of HTML 124K Use Asset 127: R88 Leases (Details) - Schedule of Lease Liabilities HTML 72K 128: R89 Leases (Details) - Schedule of Changes in Lease HTML 72K Liability 129: R90 Leases (Details) - Schedule of Non-current Portion HTML 78K of Lease Liability 130: R91 Intangible Assets (Details) - Schedule of HTML 99K Intangible Assets Acquired in a Business Combination are Recognized at Fair Value Based on Valuation Methodologies and Techniques 131: R92 Intangible Assets (Details) - Schedule of Changes HTML 112K in Intangible Assets 132: R93 Goodwill (Details) HTML 60K 133: R94 Goodwill (Details) - Schedule of Changes in HTML 73K Goodwill 134: R95 Goodwill (Details) - Schedule of Impairment HTML 82K Testing Cash Generating Units 135: R96 Goodwill (Details) - Schedule of Key Assumptions HTML 83K Used in the Estimation of the Value in Use 136: R97 Trade Accounts Payable (Details) HTML 60K 137: R98 Trade Accounts Payable (Details) - Schedule of HTML 88K Accounts Payable by Major Type of Supplier 138: R99 Loans and Financing (Details) HTML 62K 139: R100 Loans and Financing (Details) - Schedule of Loans HTML 235K and Financing 140: R101 Loans and Financing (Details) - Schedule of Loans HTML 77K and Financing Maturity Principal Payment 141: R102 Loans and Financing (Details) - Schedule of HTML 118K Guarantees and Contractual Restrictions 142: R103 Loans and Financing (Details) - Schedule of HTML 150K Movement of Liabilities to Cash Flows Arising from Financing Activities 143: R104 Income and Other Taxes Payable (Details) HTML 62K 144: R105 Income and Other Taxes Payable (Details) - HTML 81K Schedule of Income and Other Taxes Payable 145: R106 Payroll and social charges (Details) HTML 62K 146: R107 Payroll and social charges (Details) - Schedule of HTML 79K Payroll and Social Charges are 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Exhibit 4.3
Execution Version
This SUPPLEMENT, BORROWER ASSUMPTION AND TECHNICAL AMENDMENT, dated as of January 19, 2024 (this “Supplement”), is provided pursuant to that certain Revolving Syndicated Facility Agreement, dated as of November 1, 2022 (as amended, restated, amended and restated, supplemented or otherwise modified prior to the effectiveness of this Supplement, the “Credit Agreement”), by and among JBS USA LUX S.A., a public limited liability company (société anonyme) incorporated and existing under the laws of the Grand Duchy of Luxembourg (the “Company” or the “Lux Borrower”), JBS USA FOOD COMPANY, a Delaware corporation (the “U.S. Borrower”), JBS USA FINANCE, INC., a Delaware corporation (the “U.S. Finance Borrower”), JBS AUSTRALIA PTY LIMITED, a proprietary company limited by shares incorporated in Queensland, Australia (the “Australian Borrower”), and JBS FOOD CANADA ULC, an unlimited liability company existing under the laws of the Province of Alberta, Canada (the “Canadian Borrower”), the other Borrowers from time to time party thereto, the several banks and other financial institutions or entities from time to time party thereto and BANK OF MONTREAL (“BMO”), as administrative agent (in such capacity, the “Administrative Agent”).
WHEREAS, the Lux Borrower has merged into JBS USA Holding Lux S.à r.l, a Luxembourg private limited liability company (société à responabilité limitée) with registered address at 21 avenue de la Gare, L-1611, Luxembourg, Grand Duchy of Luxembourg, and registered with the Luxembourg Trade and Companies Register (Registre de Commerce et des Sociétés, Luxembourg) (the “RCS”) (the “JBS USA Holding”) (such merger, the “Merger”). JBS USA Holding is a Parent Guarantor under the Credit Agreement;
WHEREAS, in accordance with Section 1.11 of the Credit Agreement (including the definition of “New Borrower Requirements”) (i) JBS USA Holding wishes to assume all the obligations of the Lux Borrower under the Credit Agreement and the other Loan Documents to which the Lux Borrower is a party (such assumption, the “Borrower Substitution”) and (ii) JBS USA Holding and the other Loan Parties wish to reaffirm their respective Obligations under the Credit Agreement and the other Loan Documents to which they are a party;
WHEREAS, in accordance with Section 9.02(c) of the Credit Agreement, the Administrative Agent and the Company may amend the Credit Agreement in order to implement any necessary or desirable technical change, which amendment becomes effective if such amendment is not objected to in writing by the Required Lenders to the Administrative Agent within five (5) Business Days following receipt of a copy of such amendment to the Lenders;
NOW, THEREFORE, JBS USA Holding and, solely with respect to Section 7 below, the other Loan Parties, for the benefit of the Administrative Agent and the Lenders, hereby agree as follows:
SECTION 1 Defined Terms. Capitalized terms used but not defined herein shall have the meanings assigned to such terms in the Credit Agreement.
SECTION 2 Assumption of Obligations and Reaffirmation.
(a) JBS USA Holding hereby acknowledges, agrees and confirms that, by its execution of this Supplement, JBS USA Holding expressly assumes all of the obligations of the Lux Borrower under the Credit Agreement and the other Loan Documents to which the Lux Borrower is a party, and will, from and after the Effective Date, be deemed to be the Lux Borrower under the Credit Agreement and the other Loan Documents and a “Substituted Lux Company” for all purposes of the Credit Agreement and the Loan Documents and all references to the Lux Borrower in the Credit Agreement and the other Loan Documents shall be deemed to refer to JBS USA Holding, and JBS USA Holding shall have all of the obligations of the Lux Borrower thereunder as if it had executed the Credit Agreement as the Lux Borrower.
(b) JBS USA Holding hereby ratifies, as of the date hereof, and agrees to be bound by, all of the terms, provisions and conditions contained in the Credit Agreement applicable to it as the Lux Borrower, including without limitation (a) all of the representations and warranties of the Lux Borrower set forth in Article 3 of the Credit Agreement and (b) all of the covenants set forth in Articles 5 and 6 of the Credit Agreement applicable to the Lux Borrower. Without limiting the generality of the foregoing, JBS USA Holding hereby unconditionally agrees, in accordance with the Credit Agreement, to promptly pay and perform the Obligations in full when due (whether at stated maturity, as a mandatory prepayment, by acceleration or otherwise), and at all times thereafter, strictly in accordance with the terms thereof and agrees that if any of the Obligations are not paid or performed in full when due (whether at stated maturity, as a mandatory prepayment, by acceleration or otherwise), JBS USA Holding will, together with the other Loan Parties, promptly pay and perform the same, without any demand or notice whatsoever, and that in the case of any extension of time of payment or renewal of any of the Obligations, the same will be promptly paid in full when due (whether at extended maturity, as a mandatory prepayment, by acceleration or otherwise) in accordance with the terms of such extension.
SECTION 3 Technical Amendment.
(a) Subject to the terms and conditions set forth herein, the Administrative Agent and the Company agree that, as of the Effective Date (after giving effect to the satisfaction of the conditions set forth in Section 4 hereof and the assumption and reaffirmation set forth in Section 2 hereof), the occurrence of the consummation of the Merger prior to the Borrower Substitution shall be deemed to have complied with the applicable requirements of the Credit Agreement.
SECTION 4 Effectiveness This Supplement shall become effective as of the date (the “Effective Date”) on which the following conditions have been satisfied:
(a) the Administrative Agent shall have received an executed counterpart of this Supplement delivered by (i) each Loan Party and (ii) the Administrative Agent;
(b) the Administrative Agent shall not have received an objection in writing from the Required Lenders within five (5) Business Days from the date that a copy of this Supplement is provided to the Lenders;
(c) the merger of the Lux Borrower with and into JBS USA Holding, with JBS USA Holding as the surviving entity, shall have been consummated;
(d) the Administrative Agent shall have received written opinions (addressed to the Administrative Agent and the Lenders as of the Effective Date and dated the Effective Date) of White & Case LLP, as U.S. counsel and White & Case S.à r.l as Luxembourg counsel to JBS USA Holding;
(e) the Administrative Agent shall have received in respect of JBS USA Holding, a customary secretary’s certificate of JBS USA Holding, dated the Effective Date, with customary attachments thereto, in form and substance reasonably satisfactory to the Administrative Agent; and
(f) the Company shall have delivered to the Administrative Agent an officer’s certificate as to Sections 1.11(a), 1.11(d) and 1.11(f) of the Credit Agreement, and stating that the substitution contemplated by this Supplement complies with the Credit Agreement (including clauses (i) through (vi) of the definition of “New Borrower Requirements” and Section 6.03(a) of the Credit Agreement).
SECTION 5 Effect of Supplement (a) Except as expressly set forth herein, this Supplement shall not by implication or otherwise limit, impair, constitute a waiver of or otherwise affect the rights and remedies of the Lenders or the Administrative Agent under the Credit Agreement or any other Loan Document, and shall not alter, modify, amend or in any way affect any of the terms, conditions, obligations, covenants or agreements contained in the Credit Agreement or any other provision of the Credit Agreement or of any other Loan Document, all of which are ratified and affirmed in all respects and shall continue in full force and affect. Nothing herein shall be deemed to entitle the Borrowers to a consent to, or a waiver, amendment, modification or other change of, any of the terms, conditions, obligations, covenants or agreements contained in the Credit Agreement or any other Loan Document in similar or different circumstances.
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(b) On and after the Effective Date, each reference in the Credit Agreement to “this Agreement”, “hereunder”, “hereof”, “herein”, or words of like import, and each reference to the Credit Agreement in any other Loan Document shall be deemed a reference to the Credit Agreement as supplemented hereby. This Supplement shall constitute a “Loan Document” for all purposes of the Credit Agreement and the other Loan Documents.
SECTION 6 General (a) GOVERNING LAW. THIS SUPPLEMENT, AND ALL ACTIONS, CAUSES OF ACTION OR CLAIMS OF ANY KIND (WHETHER AT LAW, IN EQUITY, IN CONTRACT, IN TORT OR OTHERWISE) THAT MAY BE BASED UPON, ARISE OUT OF OR RELATED TO THIS SUPPLEMENT, SHALL BE CONSTRUED IN ACCORDANCE WITH AND GOVERNED BY THE LAW OF THE STATE OF NEW YORK, WITHOUT REGARD TO THE CONFLICT OF LAWS PRINCIPLES THEREOF.
(b) Jurisdiction; Venue; WAIVER OF JURY TRIAL. Sections 9.09(b), (c) and (d) and Section 9.10 of the Credit Agreement are incorporated by reference herein as if such Sections appeared herein, mutatis mutandis.
(c) Counterparts. Section 9.06 of the Credit Agreement is incorporated by reference herein as if such Section appeared herein, mutatis mutandis.
(d) Headings. The headings of this Supplement are used for convenience of reference only, are not part of this Supplement and shall not affect the construction of, or be taken into consideration in interpreting, this Supplement.
SECTION 7 Reaffirmation of Guarantee (a) Each Loan Party, as debtor, grantor, mortgagor, pledgor, guarantor, assignor, or in other similar capacities in which such Loan Party grants liens or security interests in its properties or otherwise acts as accommodation party, guarantor or indemnitor, as the case may be, in any case under the Loan Documents, hereby (a) acknowledges and consents to the substitution of JBS USA Holding as the “Lux Borrower” under the Credit Agreement, (b) acknowledges, ratifies and confirms that all Obligations constitute valid and existing “Obligations” under the Credit Agreement (as modified by this Supplement, including the substitution of JBS USA Holding as the “Lux Borrower” under the Credit Agreement), and (c) ratifies and confirms that (i) any and all Loan Documents to which it is a party and (ii) its respective guarantees, pledges, grants of security interests and other similar rights or obligations, as applicable, under each of the Loan Documents to which it is party, in each case, remain in full force and effect notwithstanding the effectiveness of this Supplement. Without limiting the generality of the foregoing, each Loan Party further agrees (A) that any reference to “Obligations” contained in any Loan Documents shall include, without limitation, the “Obligations” as such term is defined in the Credit Agreement (as modified by this Supplement, including the substitution of JBS USA Holding as the “Lux Borrower” under the Credit Agreement) and (B) that the related guarantees and grants of security contained in such Loan Documents shall include and extend to such Obligations.
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IN WITNESS WHEREOF, the undersigned have caused this Supplement to be duly executed and delivered by their respective duly authorized officer as of the day and year first above written.
JBS USA HOLDING LUX S.À R.L. | |||
By: | |||
Name: | |||
Title: | |||
JBS USA FOOD COMPANY | |||
By: | |||
Name: | |||
Title: | |||
JBS FOOD CANADA ULC | |||
By: | |||
Name: | |||
Title: | |||
JBS S.A. | |||
By: | |||
Name: | |||
Title: | |||
JBS GLOBAL LUXEMBOURG S.À R.L. | |||
By: | |||
Name: | |||
Title: | |||
JBS HOLDING LUXEMBOURG S.À R.L. | |||
By: | |||
Name: | |||
Title: |
[Signature Page to Supplement and Borrower Assumption]
JBS AUSTRALIA PTY LIMITED | |||
By: | |||
Name: | |||
Title: |
[Signature Page to Supplement and Borrower Assumption]
Executed by JBS GLOBAL MEAT HOLDINGS PTY LTD (ACN 050 207 960) in accordance with section 127 of the Corporations Act 2001: | ||
Director/company secretary | Director | |
Name of director/company secretary | Name of director | |
(BLOCK LETTERS) | (BLOCK LETTERS) |
[Signature Page to Supplement and Borrower Assumption]
Acknowledged and agreed as of the date first written above: | ||
BANK OF MONTREAL, | ||
as Administrative Agent | ||
By: | ||
Name: | ||
Title: |
[Signature Page to Supplement and Borrower Assumption]
This ‘20-F’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 3/27/24 | None on these Dates | ||
1/19/24 | ||||
For Period end: | 12/31/23 | |||
11/1/22 | ||||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/27/24 JBS B.V. F-4/A 5:6.4M Donnelley … Solutions/FA 3/27/24 JBS S.A. F-4 175:69M EdgarAgents LLC/FA |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 5/19/23 JBS S.A. F-4 42:49M EdgarAgents LLC/FA 9/26/22 Pilgrim’s Pride Corp. 8-K:1,3,7,9 9/22/22 13:12M 9/02/21 Pilgrim’s Pride Corp. 8-K:1,2,7,9 9/02/21 12:43M 8/17/21 Pilgrim’s Pride Corp. 8-K/A:1,2,9 8/11/21 11:67M 4/09/21 Pilgrim’s Pride Corp. 8-K:1,2,7,9 4/08/21 14:44M 10/03/17 Pilgrim’s Pride Corp. 8-K:1,2,7,9 9/26/17 4:731K Donnelley … Solutions/FA |