Subject:Partial early repayment of loans by Cyfrowy Polsat S.A. and Polkomtelsp. z o.o.The Management Board of Cyfrowy Polsat S.A. (the"Company") reports that on 14 February 2025 Company and its subsidiaryPolkomtel sp. z o.o. (the "Polkomtel") submitted to the agreement agentirrevocable instructions to initiate the procedure for partial earlyrepayment of the term loan, granted under the Senior FacilitiesAgreement dated 28 April 2023, concluded among others by the Company andPolkomtel (as borrowers) and a consortium of financial institutions, asreported by the Company in its current report no. 8/2023 of 28 April2023 (the "Facilities Agreement"). The early repayment in the amount ofPLN 681.4 million, increased by accrued interest is scheduled for 21February 2025. As a result of the above early repayment, the totalprincipal amount of the Company's and Polkomtel's debt from theFacilities Agreement will be PLN 6,263.1 million, with a repaymentschedule until 2028.The funds for the partial early repayment ofthe term loan have been obtained, among others, in the process of thesale of Asseco Poland S.A. shares by the Company, as reported by theCompany in its current report no. 2/2025 of 31 January 2025.