On the maturity date of 21 June 2021, ČEZ, a. s. redeemed the aggregatenominal amount of the notes issued on 21 June 2011 under its establishedEuro Medium Term Note Programme:

Issue Date: 21 June 2011

Aggregate Nominal Amount of the Issue: EUR 100,000,000.00

Redemption: EUR 10,735,027.00

Listing: Luxembourg Stock Exchange

ISIN: XS0635263394