Prague, 1 st November 2019
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 4 November 2019, ČEZ, a. s. will redeem the aggregate nominal amount of the notes issued under its established Euro Medium Term Note Programme:
| Aggregate Nominal Amount of the Issue: |
EUR 50,000,000.00 |
| Listing: |
Luxembourg Stock Exchange |
| ISIN: |
XS0462797605 |