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Unicredit Capital/Financing Update 2021

Dec 14, 2021

4272_rns_2021-12-14_896bd232-8afa-4c11-b2f5-05afdbe125a4.html

Capital/Financing Update

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PRESS RELEASE

Notice of early redemption

UniCredit S.p.A.

"Issue of 750,000,000 Fixed Rate Tier II Subordinated Callable Notes due 3 January 2027"

(the "Notes")

ISIN XS1426039696

With reference to the Notes issued on 3 June 2016, in accordance with the Final Terms dated 31 May 2016 and with the Terms and Conditions of the Notes, obtained the prior approval by the competent authority, UniCredit S.p.A. will exercise its option to early redeem in whole the Notes on 3 January 2022 (the "Optional Redemption Date").

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

Milan, 14 December 2021

UniCredit S.p.A.