Centrais Elétricas Brasileiras S/A ? Eletrobras, in addition to the announcements disclosed on September 25 and October 4, 2023, informs that it concluded the early redemption of the entire 1st Issuance of Commercial Notes. The total amount paid was BRL 6,284,425,507.49, in line with the Company's liability management strategy.

After this payment and considering recent funding, Eletrobras has a consolidated cash flow of around BRL 23 billion.