3. 5. 2011

22nd CZK 1.25bn bond issue (2011)

Issuer: ČEZ, a. s.

Issue Amount: 1 250 000 000 CZK

Settlement Date: 3 May 2011

Maturity Date: 3 May 2023

Coupon: 4.60 %

Listing: Luxembourg Stock Exchange

Lead Manager: Česká spořitelna, a. s.