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CI Games S.A.

Capital/Financing Update Jul 21, 2023

5562_rns_2023-07-21_e0b8d908-71ee-46e8-aa5f-c9e11dae1da4.html

Capital/Financing Update

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Current Report No. 31/2023

Date: 20 July 2023

Subject: Allocation of convertible bonds F series

Legal basis: Art. 17(1) of the MAR Regulation -inside information

The Management Board of CI Games, SE with itsregistered seat in Warsaw (the "Company") informs, withreference to the current report ESPI No. 28/2023 of July 14, 2023, thaton July 20, 2023 it adopted a resolution on the allocation of 60 (say:sixty) series F bonds, registered, unsecured, book-entry, convertibleinto ordinary bearer series L shares, with a nominal value equal to theissue price of EUR 100,000 (one hundred thousand euro) each bond andwith a total nominal value amounting to EUR 6,000,000 (six millioneuro), bearing interest at a fixed annual interest rate of 8% (the "Bonds").

On 20 July 2023, the investor made a payment for theBonds. Thus, the issue of the Bonds took place.

The Bonds were not issued in the form of a publicoffering.

The Management Board of the Company considered itjustified to classify this information as inside information within themeaning of Article 7(1) of the MAR Regulation.Disclaimer:This English language translation may contain certain discrepancies. Incase of any differences between the Polish and the English versions, thePolish version shall prevail.

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