Prague, 3 December 2021

ČEZ, a. s. (Identification number 45274649)

Information Obligation within the meaning of §120c Act No 256/2004 Coll., on Capital Market Undertakings, as amended

ČEZ, a. s. - Notes Redemption Notice

On the maturity date of 6 December 2021, ČEZ, a. s. redeems the aggregate nominal amount of the notes issued under its established Euro Medium Term Note Programme:

Issue Date:

5 December 2011

Aggregate Nominal Amount: EUR 50,000,000.00

Listing:

Luxembourg Stock Exchange

ISIN:

XS0713866787

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CEZ a.s. published this content on 03 December 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 03 December 2021 11:01:00 UTC.