Prague, 16 February 2023
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 17 February 2023, ČEZ, a. s. redeems the aggregate nominal amount of the notes issued under its established Euro Medium Term Note Programme:
Issue Date: 17 February 2011 Aggregate Nominal Amount: JPY 11.500.000.000,00 Listing: Luxembourg Stock Exchange ISIN: XS0592280217