NOTICE TO THE NOTEHOLDERS
"540,000 TRUST PREFERRED SECURITIES UNICREDITO ITALIANO CAPITAL TRUST I NONCUMULATIVE FIXED/FLOATING RATE GUARANTEED TRUST PREFERRED SECURITIES (LIQUIDATION PREFERENCE €1,000 PER TRUST PREFERRED SECURITY) GUARANTEED TO THE EXTENT DESCRIBED ALSO IN THE OFFERING MEMORANDUM BY UNICREDIT S.P.A." (THE "NOTES").
REGULATION S INTERNATIONAL SECURITIES IDENTIFICATION NUMBER ("ISIN"): USU 90400AA73
REGULATION S CUSIP NUMBER: U90400 AA7
REGULATION S COMMON CODE NUMBER: 011867618
144A ISIN: US90466FAA21
144A CUSIP NUMBER: 90466F AA2
144A COMMON CODE NUMBER: 011867642
INSTITUTIONAL ACCREDITED INVESTORS ISIN: US90466FAB04
INSTITUTIONAL ACCREDITED INVESTORS CUSIP NUMBER: 90466F AB0
INSTITUTIONAL ACCREDITED INVESTORS COMMON CODE NUMBER: 011867693
With reference to the above issue, Unicredito Italiano Capital Trust I in accordance with the provisions in the Amended and Restated Trust Agreement dated October 5, 2000, having obtained the prior approval of the Bank of Italy, intends to exercise its option to early redeem in whole the Notes on October 5, 2010. The early redemption of the issue will be at par and the interests shall cease to accrue on such date.
Date: September 3, 2010
Unicredito Italiano Capital Trust I
UniCredito Capital Trust I
150 East 42nd Street
New York, NY 10017
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