Raport bieżący z plikiem 33/2026
Podstawa prawna: Art. 56 ust. 1 pkt 2 Ustawy o ofercie - informacje bieżące i okresowe
Information Obligation within the meaning of §120c Act No 256/2004 Coll., on Capital Market Undertakings, as amended
EZ, a. s. - Interest Payment Notice
EZ, a. s. announces that on 3 September 2026 it will pay regular annual interest payment for the following bond issue:
Aggregate Nominal Amount: EUR 80,000,000.00
Maturity: 3 September 2047
Listing: Luxembourg Stock Exchange
ISIN: XS0822571799
Interest Payment Frequency: annual
Interest rate: 4.383% p.a.
Interest Amount: EUR 3,506,400.00