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Unicredit Capital/Financing Update 2020

Oct 2, 2020

4272_rns_2020-10-02_a365ec32-a085-4d3d-95ec-428ba7b41670.pdf

Capital/Financing Update

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COMUNICATO STAMPA

Avviso agli obbligazionisti

"EUR 1,000,000,000 FIXED RATE LOWER TIER II SUBORDINATED CALLABLE NOTES DUE 28 OCTOBER 2025"

(I "TITOLI")

ISIN XS0986063864

Con riferimento al prestito obbligazionario in oggetto, emesso in data 28 ottobre 2013, in conformità con le previsioni dei termini e condizioni dei Titoli, avendo ottenuto la preventiva autorizzazione dell'autorità competente, UniCredit S.p.A. eserciterà il rimborso integrale dei Titoli in via anticipata in data 28 ottobre 2020.

Il rimborso anticipato dei Titoli avverrà alla pari e gli interessi cesseranno di maturare alla data di rimborso stessa.

Milano, 2 ottobre 2020

UniCredit S.p.A.

Contatti:

Media Relations: e-mail: [email protected]

Investor Relations: e-mail: [email protected]

PRESS RELEASE

Notice to the Noteholders

"EUR 1,000,000,000 FIXED RATE LOWER TIER II SUBORDINATED CALLABLE NOTES DUE 28 OCTOBER 2025"

(THE "NOTES")

ISIN XS0986063864

With reference to the above Notes, issued on 28 October 2013, in accordance with the relevant Terms and Conditions of the Notes, UniCredit S.p.A. having obtained the prior approval by the competent authority, will exercise its option to early redeem in whole the Notes on 28 October 2020.

The early redemption of the Notes will be at par and the interests shall cease to accrue on the Optional Redemption Date.

Milan, 2 October 2020

UniCredit S.p.A.

Enquiries:

Media Relations: e-mail: [email protected]

Investor Relations: e-mail: [email protected]