Grupo Aeroportuario del Pacífico, S.A.B. de C.V., announced that completed the refinancing of the credit facility that matured on June 7, 2024 with Banco Nacional de México, S.A., (?Citibanamex?) for MXN 1.5 billion, extending the maturity by 18 months. The interest will be payable monthly at a variable rate of TIIE-28 plus 24 basis points, without fees, and principal payment on December 5, 2025.