_#268;EZ, a. s. - Interest Payment Notice_#268;EZ, a. s.announces that on 6 December 2021 it will pay regular annual interestpayment for the following bond issue:
Aggregate Nominal Amount: EUR 50,000,000.00
Maturity: 5 December 2021
Listing: Luxembourg Stock Exchange
ISIN: XS0713866787
Interest Payment Frequency: annual
Interest rate: 4.102% p.a.
Interest Amount: EUR 2,051,000.00