Unicredit prezza bond 2019 per 1,25 mld, cedola 3,625%, a 99,61 reoffer

martedì 17 settembre 2013 16:29

17 settembre (Reuters) - Following are terms and conditions of a bond priced
on Tuesday.  
   Borrower                Unicredit S.p.A 
   Issue Amount            1.25 billion euro 
   Maturity Date           January 24, 2019 
   Coupon                  3.625 pct 
   Issue price             99.61 
   Reoffer price           99.61 
   Spread                  225 basis points 
   Underlying govt bond    Over Mid-swaps, equivalent to 273.7bp 
                           over the January 2019 DBR 
   Payment Date            September 24, 2013 
   Lead Manager(s)         Credit Agricole CIB, Golodman Sachs International, 
                           Nomura & Unicredit 
   Ratings                 Baa2 (Moody's) 
   Listing                 Lux 
   Full fees               Undisclosed 
   Denoms (K)              100-1 
   Notes                   Launched under issuer's EMTN programme 
   ISIN                    XS0973623514 
   Security details and RIC, when available, will be 
   Customers can right-click on the code for 
   performance analysis of this new issue 
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   Data supplied by International Insider.  
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