Programma di cambiali finanziarie | CDP

CDP Bonds

CDP is active on financial markets through a medium-to-long-term bond issuance programme (Debt Issuance Programme) and a short-term Commercial Paper Programme, reserved to institutional investors. Since 2023 CDP is also active on the US market with a Yankee Bond issuance. Furthermore, CDP offers bond issuances for retail investors resident in Italy.

 

Multi-Currency Commercial Paper Programme

In 2014 CDP launched the “Multi-Currency Commercial Paper Programme”, denominated in Euro and other currencies, which constitutes a key short-term funding instrument for CDP.

From the last update in March 2023, the Programme envisage the ESG Label to each issuance, in connection with the maintenance of an ESG Rating assigned to CDP (please refer to the Information Memorandum).

The Programme enables funding on money market maturities, up to a total amount of 6 billion euros. It is governed by the Italian Law No.43 of 13/01/1994, “Disciplina delle Cambiali Finanziarie” (as amended by Law No.134 of 07/08/2012) and complies with the requirements established in the S.T.E.P. Market Convention. Additionally, the Programme has obtained the S.T.E.P. Label by the S.T.E.P. Secretariat.

The Programme is rated by S&P Global Ratings Europe Limited (S&P), Fitch Ratings Ireland Limited Sede Secondaria Italiana (Fitch), and Scope Ratings GmbH (Scope).

Individual series of Commercial Papers may be listed on the ExtraMOT PRO segment of the Italian Stock Exchange.

Related documents

Information Memorandum 22-03-2023

Commercial Paper

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ISIN Code Type Issue Date Maturity Date Nominal Value Download
IT0005647067 ESG issue 17/04/2025 16/04/2026 € 60.000.000 Form Contractual Terms
IT0005647042 ESG issue 16/04/2025 15/04/2026 € 50.000.000 Form Contractual Terms
IT0005646887 ESG issue 16/04/2025 16/07/2025 € 250.000.000 Form Contractual Terms
IT0005646671 ESG issue 15/04/2025 14/04/2026 € 125.000.000 Form Contractual Terms
IT0005642746 ESG issue 25/03/2025 26/01/2026 € 250.000.000 Form Contractual Terms
IT0005641433 ESG issue 18/03/2025 18/06/2025 € 30.000.000 Form Contractual Terms
IT0005641011 ESG issue 14/03/2025 13/03/2026 € 40.000.000 Form Contractual Terms
IT0005633364 ESG issue 23/01/2025 23/05/2025 € 400.000.000 Form Contractual Terms
IT0005625303 ESG issue 03/12/2024 02/12/2025 € 50.000.000 Form Contractual Terms
IT0005621385 ESG issue 12/11/2024 11/11/2025 € 50.000.000 Form Contractual Terms