Share this event on:

  • LinkedIn

Recomend this page

Thank you, we sent your recommendation to the desired recipient.

Sorry, this functionality is not available right now.
Please try with this link. Thank you.

Bond Issue - ISIN IT0004296833

BOND ISSUE

 (cod. ISIN IT0004296833)

 

 

UniCredit informs that the gross yearly interest rate of coupon n. 8, "UNICREDITO ITALIANO S.p.A. 2007/2016 OBBLIGAZIONE A NOVE ANNI CON CEDOLE VARIABILI LEGATE ALL'ANDAMENTO DEL DIFFERENZIALE TRA IL TASSO SWAP ANNUALE EURO A 10 ANNI ED IL TASSO SWAP ANNUALE EURO A 2 ANNI" - SERIE 8, regarding period 21st  December 2015 - 21st December 2016 has been fixed on 2,97600%.  

 

We inform that the Centralized Administration Services, pursuant to article 83-ter of DL 24th February 1998, 58, is Monte Titoli SpA - Milano.

 

UniCredit S.p.A

 

Milan, December 22, 2015

ENQUIRIES

Investor Relations

 

Phone: + 39 02 88628715

e-mail: InvestorRelations@unicreditgroup.eu

Media Relations


Phone: +39 02 88628236

e-mail: MediaRelations@unicreditgroup.eu