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Principal Amount Outstanding on Issue Date | Currency | Issue Date | Final Legal Maturity Date | Listing | ISIN code | Indexation | Spread / Fixed Rate | Payment Frequency | Type of Amortisation |
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Class A Notes | Class J Notes |
1.800.000.000 | 656.397.000 | EUR | EUR | 27 April 2022 | 27 April 2022 | 25 October 2064 | 25 October 2064 | Italy | N.A. | IT0005493447 | IT0005493421 | Euribor 3M | N.A. | 0,7000 % | N.A. | Quarterly | Quarterly | Amortising | Amortising |
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