Obbligazioni dicembre 2025-dicembre 2032 | CDP

Bond retail December 2025-December 2032

Tenor 7 years

Full principal repayment at maturity

Gross fixed rate of 3.15% per year, for the first 3 years, and gross floating rate equal to 3-months Euribor plus spread of 0.30% for the upcoming 4 years

Substitute tax of 12.50%

ISIN code IT0005675449

 



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