Capital/Financing Update • Oct 28, 2021
Capital/Financing Update
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Milan, 28 October 2021 – In relation to the «Banco Popolare S.C. obbligazioni subordinate tier 2 a tasso variabile 2015/2022 con possibilità di rimborso anticipato» bond with early repayment option - IT0005120313, the nominal gross rate of the coupon no. 26, for the period 30/10/2021 – 30/01/2022, is 0.9545% (3.8180% on an annual basis).
Contacts: Investor Relations Roberto Peronaglio +39 02.94.77.2108 [email protected]
Communication Matteo Cidda +39 02.77.00.7438 [email protected] Press Office Monica Provini +39 02.77.00.3515 [email protected]
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