CEZ, a. s. - Notes Redemption Notice

On the maturity date of 17 February 2023, CEZ, a. s. redeems theaggregate nominal amount of the notes issued under its established EuroMedium Term Note Programme:

Issue Date: 17 February 2011

Aggregate Nominal Amount: JPY 11.500.000.000,00

Listing: Luxembourg Stock Exchange

ISIN: XS0592280217