| KOMISJA PAPIERÓW WARTOŚCIOWYCH I GIEŁD | |
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| | | Raport bieżący nr | 42 | / | 2009 | | | |
| Data sporządzenia: | 2009-05-29 | | | | | | | | |
| Skrócona nazwa emitenta | | | | | | | |
| UniCredit | |
| Temat | | | | | | | | | | |
| BOND ISSUE
(cod. ISIN IT0004289770) | |
| Podstawa prawna | | | | | | | |
| Art. 56 ust. 1 pkt 2 Ustawy o ofercie - informacje bieżące i okresowe
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| Treść raportu: | | | | | | | | | |
| PRESS RELEASE
BOND ISSUE
"UNICREDITO ITALIANO S.p.A. 2007/2011 – OBBLIGAZIONI A TASSO VARIABILE
CEDOLE TRIMESTRALI – SCADENZA 30 NOVEMBRE 2011"
(cod. ISIN IT0004289770)
UniCredit informs that the gross quarterly interest rate of coupon n. 7 regarding period 30th May –
30th August 2009, has been fixed on 0,26067%.
We inform that the Centralized Administration Services, pursuant to article 29 of DL 24th June
1998, 213, is Monte Titoli SpA – Milano.
UniCredit S.p.A
Milan, May 28, 2009
Enquiries:
Media Relations:
Tel. +39 02 88628236 ; e-mail: MediaRelations@unicreditgroup.eu
Investor Relations:
Tel. + 39 02 88628715; e-mail: InvestorRelations@unicreditgroup.eu | |
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