Unicredit prezza bond 2019 per 517 mln, cedola 4%, alla pari reoffer

venerdì 23 dicembre 2011 11:18
 

 23 dicembre (Reuters) - Following are terms and
conditions  	
 of a bond priced on Friday.   	
   	
Borrower                UniCredit S.p.A.  	
Issue Amount            517.521 million euro  	
Maturity Date           January 31,2019  	
Coupon                  4.0 pct  	
Issue price             Par  	
Reoffer price           Par  	
Payment Date            December 23, 2011  	
Lead Manager(s)         Unicredit  	
Ratings                 A2 (Moody's), A  (S&P),  	
                        A (Fitch) 	
ISIN                    IT0004780562  	
  	
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