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  6. Notice of early redemption: UniCredit S.p.A. €1,000,000,000 Fixed Rate Resettable Tier 2 Subordinated Callable Notes due 20 February 2029 (the "Notes") ISIN XS1953271225
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Notice of early redemption: UniCredit S.p.A. €1,000,000,000 Fixed Rate Resettable Tier 2 Subordinated Callable Notes due 20 February 2029 (the "Notes") ISIN XS1953271225

 

With reference to the above mentioned Notes, in accordance with the Final Terms dated 18 February 2019 and with the Terms and Conditions for the Italian Law Notes, UniCredit S.p.A. announces that, having received the European Central Bank authorisation, it will exercise the option to early redeem in whole the Notes on 20 February 2024 (the "Optional Redemption Date").

 

The early redemption of the Notes will be at par, together with accrued and unpaid interest. Interest shall cease to accrue on the Optional Redemption Date.

 

Milan, 23 January 2024

 

 

Contacts: 
Media Relations e-mail: MediaRelations@unicredit.eu
Investor Relations e-mail: InvestorRelations@unicredit.eu