Notice to the Noteholders
"Euro 300,000,000 Lower Tier II Step-Up Callable Subordinated Floating Rate Notes due June 2015"
ISIN Code XS0222426958
With reference to the above issue, UniCredit S.p.A. in accordance with the Pricing Supplement, having obtained the prior approval of the Bank of Italy, intends to exercise its option to early redeem in whole the Notes on 23 June 2010 (the "Early Redemption Date").
The early redemption of the issue will be at par and the interests shall cease to accrue on the Early Redemption Date.
Rome, June 7, 2010
Tel. +39 02 88628236; e-mail: MediaRelations@unicreditgroup.eu
Tel. + 39 02 88628715; e-mail: InvestorRelations@unicreditgroup.eu