NEWS RELEASE

«Banco Popolare S.C. Obbligazioni subordinate tier 2 a TV 2015/2022 con possibilità di rimborso

anticipato» bond. Coupon rate 30/10/2019 - 30/01/2020: 0,9915%

Milan, 28 October 2019 - In relation to the «Banco Popolare S.C. obbligazioni subordinate tier 2 a tasso variabile 2015/2022 con possibilità di rimborso anticipato» bond with early repayment option - IT0005120313, the nominal gross rate of the coupon no. 18, for the period 30/10/2019 - 30/01/2020, is 0.9915% (3.966% on an annual basis).

Contacts:

Investor Relations

Communication

Press Office

Roberto Peronaglio

Matteo Cidda

Monica Provini

+39 02.94.77.2108

+39 02.77.00.7438

+39 02.77.00.3515

investor.relations@bancobpm.it

matteo.cidda@bancobpm.it

monica.provini@bancobpm.it

Attachments

  • Original document
  • Permalink

Disclaimer

Banco BPM S.p.A. published this content on 28 October 2019 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 October 2019 14:36:01 UTC