23. 1. 2009

Bond repayment ČEZ 0,00/09, ISIN CZ0003501066

Inside Information

Citibank Europe plc., organisation unit, as the administrator authorised by the issuer, namely ČEZ a.s., to perform bond payments, announces that starting on 26 January 2009, ČEZ bond 0,00/09, ISIN CZ0003501066, will be paid out to a total nominal value of CZK 4 500 000 000.00.

According to the bond issue conditions, entitled to payment of the nominal value of the said bond are those owners who had the bond booked to their asset accounts at the Securities Centre as of the end of 23 December 2008.

The nominal value will be wire transferred based on a request for transfer of revenues to a monetary account.

Citibank Europe plc, organisation unit
Evropská 423/178, 166 40 Prague 6 - Vokovice
Securities and Funds Services