Introduction sectionBTP Italia fifteenth Issuance, ISIN code for the Second Phase dedicated to institutional investors
BTP Italia fifteenth Issuance, ISIN code for the Second Phase dedicated to institutional investors
The Ministry of Economy and Finance announces the definitive annual (real) coupon rate of the fifteenth BTP Italia, the government bond indexed to Italian inflation (FOI index ex-tobacco, Indices of Consumer Prices for blue and white-collar households with the exclusion of tobacco), with first accrual date as of the 28th of October 2019 and maturity date as of the 28th of October 2027, is revised upwards to 0.65%.
The Ministry of Economy and Finance reminds that for the Second Phase of the placement period of the BTP Italia, dedicated to institutional investors, the ISIN code of the bond is IT0005388175.
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