Obbligazioni retail | CDP

Bond retail February 2026-February 2033

Tenor 7 years

Full principal repayment at maturity

Gross fixed rate of 3.30% per year, for the first 3 years, and gross floating rate equal to 3-months Euribor for the upcoming 4 years

Substitute tax of 12,50%

ISIN code IT0005685562

Documents are only available in Italian.

Documento di Registrazione

Nota Informativa

Condizioni Definitive

Nota di Sintesi

Termini e Condizioni