DIP/EMTN Programme

In 2015, CDP launched its medium- to long-term bond issuance programme, known as the Debt Issuance Programme (DIP).

Debt Issuance Programme (DIP)

The DIP enables CDP to raise capital in the financial markets through the issuance of bonds with a variety of structures, maturities and currencies. The Programme has a maximum aggregate size of up to €15 billion and is listed on the MOT market segment of Borsa Italiana. 

Documents

Archive of DIP documents

The documentation for the Debt Issuance Program is available starting from 2015.

Debt Issuance Programme

ISIN Code
Type
Issue Date
Maturity Date
Nominal Value
Download
IT0005730772 15/09/2026 15/09/2029 CNH 500.000.000 Final Terms
IT0005717233 18/06/2026 18/06/2031 CNH 1.000.000.000 Final Terms
IT0005713042 03/06/2026 03/06/2031 € 750.000.000 Final Terms
IT0005696023 19/02/2026 19/02/2036 € 100.000.000 Final Terms
IT0005695553 16/02/2026 16/02/2034 € 750.000.000 Final Terms
IT0005693236 05/02/2026 05/02/2041 € 100.000.000 Final Terms
IT0005675597 27/10/2025 27/10/2035 € 750.000.000 Final Terms
IT0005671257 30/09/2025 30/09/2043 € 100.000.000 Final Terms
IT0005655136 Green 17/06/2025 17/06/2033 € 500.000.000 Final Terms
IT0005634735 11/02/2025 11/02/2032 € 1.250.000.000 Final Terms
ISIN Code: IT0005730772
Issue Date: 15/09/2026
Maturity Date: 15/09/2029
Nominal Value: CNH 500.000.000
ISIN Code: IT0005717233
Issue Date: 18/06/2026
Maturity Date: 18/06/2031
Nominal Value: CNH 1.000.000.000
ISIN Code: IT0005713042
Issue Date: 03/06/2026
Maturity Date: 03/06/2031
Nominal Value: € 750.000.000
ISIN Code: IT0005696023
Issue Date: 19/02/2026
Maturity Date: 19/02/2036
Nominal Value: € 100.000.000
ISIN Code: IT0005695553
Issue Date: 16/02/2026
Maturity Date: 16/02/2034
Nominal Value: € 750.000.000
ISIN Code: IT0005693236
Issue Date: 05/02/2026
Maturity Date: 05/02/2041
Nominal Value: € 100.000.000
ISIN Code: IT0005675597
Issue Date: 27/10/2025
Maturity Date: 27/10/2035
Nominal Value: € 750.000.000
ISIN Code: IT0005671257
Issue Date: 30/09/2025
Maturity Date: 30/09/2043
Nominal Value: € 100.000.000
ISIN Code: IT0005655136 Green
Issue Date: 17/06/2025
Maturity Date: 17/06/2033
Nominal Value: € 500.000.000
ISIN Code: IT0005634735
Issue Date: 11/02/2025
Maturity Date: 11/02/2032
Nominal Value: € 1.250.000.000

EMTN Programme

In 2005, CDP launched its Euro Medium Term Notes (EMTN) Programme, a medium- to long-term bond issuance programme. 

The EMTN Programme enables CDP to raise funds in the capital markets through the issuance of bonds with a variety of structures, maturities and currencies. 

The Program has a maximum total amount of up to 13 billion euros, and the securities issued under it have been listed on the Luxembourg Stock Exchange.

Documents

EMTN Issue Programme

ISIN Code
Issue Date
Maturity Date
Nominal Value
IT0004980394 11/12/2013 11/12/2028 € 200.000.000,00
IT0004805583 23/03/2012 23/03/2028 € 40.000.000,00
IT0004124464 31/10/2006 31/10/2029 € 44.000.000,00
ISIN Code: IT0004980394
Issue Date: 11/12/2013
Maturity Date: 11/12/2028
NOMINAL_VALUE: € 200.000.000,00
ISIN Code: IT0004805583
Issue Date: 23/03/2012
Maturity Date: 23/03/2028
NOMINAL_VALUE: € 40.000.000,00
ISIN Code: IT0004124464
Issue Date: 31/10/2006
Maturity Date: 31/10/2029
NOMINAL_VALUE: € 44.000.000,00