_#268;EZ, a. s. announces that on 3 May 2022 it will pay regular annualinterest payment for the following bond issue:
Aggregate Nominal Amount: CZK 1,250,000,000.00Maturity: 3 May 2023Listing:Luxembourg Stock ExchangeISIN: XS0622499787Interest PaymentFrequency: annuallyInterest rate: 4.6% p.a.Interest Amount: CZK57,500,000.00