Cyfrowy Polsat S.A. pushed the deadline for repayment of PLN 13.5 billion in credits, including PLN 12.5 billion in facilities extended by two years to end-September 2024. Cyfrowy additionally extended the deadline for the repayment of an additional PLN 1 billion term facility loan to end-March 2025. Cyfrowy Polsat and facility agent UniCredit Bank amended the larger facility originating from September 2015 for up to PLN 11.5 billion term facility and an up to PLN 1 billion revolving facility loan originally due end-September 2022. Amortized payments initial slated for June 30, 2020, September 30, 2020, December 31, 2020 and March 31, 2021 will be skipped in favor of quarterly repayments of PLN 200 million each in the period from June 30, 2021 to June 30, 2024.