Introduction sectionBtp Italia thirteenth issuance, guaranteed minimum annual coupon rate 0.40%

Btp Italia thirteenth issuance, guaranteed minimum annual coupon rate 0.40%

The guaranteed minimum annual (real) coupon rate is 0,40%. The definitive annual (real) coupon rate is set at the end of the collection of purchase orders and it cannot be below the guaranteed minimum annual (real) coupon rate.

The First Phase of the placement period, tailored to retail investors, will take place from next Monday the 14th of May up to Wednesday the 16th of May 2018, unless possible early closing that in any case will allow for two full days of issuance (the 14th and the 15th of May). For the First Phase the ISIN code of the bond is IT0005332827.

Specific information can be requested at: dt.gruppo.info@tesoro.it.

 

Announcement of the issuance BTP Italia 21.05.2026

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