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Nexi Capital/Financing Update 2026

May 18, 2026

4248_rns_2026-05-18_9681db92-e629-41e4-87aa-bd088fd385af.pdf

Capital/Financing Update

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nexi

Nexi S.p.A. (the "Issuer") EUR 500,000,000 1.75 per cent
Equity Linked Bonds due 2027
(ISIN: XS2161819722) (the "Bonds")

Capitalised terms not otherwise defined in this notice shall have the meaning given to them in the terms and conditions of the Bonds (the "Conditions").

Notice to Bondholders

In accordance with the Conditions, the Issuer hereby gives notice to Bondholders that, as a result of the Dividend of EUR 0.30 per Ordinary Share payable to Shareholders of record on 19 May 2026, in accordance with Condition 6(b)(iii) the Conversion Price has been adjusted from EUR 18.5730 to EUR 17.1426, effective as of 18 May 2026.

Nexi S.p.A.
18 May 2026

Nexi SpA
Corso Sempione SS, 20149 Milan, Italy • T. +39 02 3488.1 • F. +39 02 3488.4180 • www.nexigroup.com
Milan, Monza Brianza and Lodi Registry of Companies, Tax Code 09489670969 • Representative of the Nexi VAT Group - VAT 10542790968
Milan Register of Economic Activities (REA) 2093618 • Share Capital € 118.718.524,00 fully paid-up