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CEZ A.S.

Capital/Financing Update Oct 18, 2021

1042_rns_2021-10-18_bce93884-6493-49b7-800c-c88c438c2fb8.html

Capital/Financing Update

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ČEZ, a. s. - Notes Redemption Notice

On the maturity date of 19 October 2021, ČEZ, a. s. redeems theaggregate nominal amount of the notes issued on 19 October 2009 underits established Euro Medium Term Note Programme:

Issue Date: 19 October 2009

Aggregate Nominal Amount of the Issue: EUR 540,919,000.00

Listing: Luxembourg Stock Exchange

ISIN: XS0458257796

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