Subject:Early repayment offacility loans by Cyfrowy Polsat S.A. and Polkomtel sp. z o.o.TheManagement Board of Cyfrowy Polsat S.A. (the "Company") informs that on9 May 2023, the Company and its subsidiary, Polkomtel sp. z o.o.("Polkomtel"), submitted to the facility agent an irrevocableinstruction to initiate the procedure of an early repayment of the fullamount of the term facility loan and the revolving facility loan grantedunder the Senior Facilities Agreement of 21 September 2015, entered intoby, among other parties, the Company (as the borrower) and a consortiumof financial institutions, as amended by the amendment, restatement andconsolidation deed of 21 September 2015, notified by the Company'sManagement Board in its current report No. 42/2015 of 21 September 2015,the second amendment and restatement deed of 2 March 2018 notified bythe Company's Management Board in its current report No. 9/2018 of 2March 2018, and the third amendment and restatement deed of 27 April2020, notified by the Company's Management Board in its current reportNo. 14/2020 of 27 April 2020. A prepayment in the aggregate amount ofPLN 8,843.7 million is planned for 16 May 2023. As a result of theprepayment, the Company and Polkomtel will repay the entire debt underthe facilities agreement referred to above.