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UniCredit S.p.A.: Notice of redemption of Capital Trust III (2015-09-24)

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RB-W 60:Notice of redemption - UniCredito Italiano Capital Trust III ISIN: XS0231436238

Firma: UniCredit S.p.A.
Spis treści:
1. RAPORT BIEŻĄCY
2. MESSAGE (ENGLISH VERSION)
3. INFORMACJE O PODMIOCIE
4. PODPISY OSÓB REPREZENTUJĄCYCH SPÓŁKĘ

Spis załączników:
  1. Notice_to_holders_III_ENG.pdf Press Release

KOMISJA NADZORU FINANSOWEGO









Raport bieżący nr 60 / 2015
Data sporządzenia: 2015-09-24
Skrócona nazwa emitenta
UniCredit
Temat
Notice of redemption - UniCredito Italiano Capital Trust III ISIN: XS0231436238
Podstawa prawna
Art. 56 ust. 1 pkt 2 Ustawy o ofercie - informacje bieżące i okresowe
Treść raportu:
UniCredito Italiano Capital Trust III

NOTICE OF REDEMPTION

To the Holders of

UniCredito Italiano Capital Trust III

€750,000,000 Aggregate liquidation preference non-cumulative guaranteed
fixed/floating rate perpetual trust preferred securities
representing a corresponding amount of non-cumulative guaranteed fixed/floating
rate perpetual LLC preferred securities of UniCredito Italiano Funding LLC III
ISIN: XS0231436238

IRREVOCABLE NOTICE IS HEREBY GIVEN on the date hereof (the Redemption Notice Date) pursuant to the Offering Circular dated 24 October 2005 (the Offering Circular) and Section 6.4(a) of the Amended and Restated Trust Agreement dated 12 July 2012 (the Trust Agreement) that as a result of the redemption of the Company Preferred Securities pursuant to Section 7.3(e) of the Amended and Restated Limited Liability Company
Agreement dated 12 July 2012 the Trust will redeem Trust Preferred Securities having an aggregate liquidation preference equal to €121,174,000 (representing the entire outstandingamount) on 27 October 2015 (the Redemption Date).

The redemption will be at the Regular Redemption Price and the record date is 12 October 2015.

The Trust Preferred Securities are held in global form and will be redeemed in accordance with the normal procedures of Euroclear and Clearstream.

The ISIN provided above is for convenience only. No representation is made as to the correctness of such number and the redemption of the Trust Preferred Securities shall not be affected by any defect in such number.

On the Redemption Date, the Regular Redemption Price will become due and payable on each Trust Preferred Security to be redeemed, and Dividends will cease to accrue on andafter such date.

Capitalized words used but not defined in this notice shall have the meanings set out in the Trust Agreement and the Offering Circular.

Milan, 23 September 2015

Enquiries:
Media Relations Tel. +39 02 88623569; e-mail: MediaRelations@unicredit.eu
Investor Relations Tel. + 39 02 88624324; e-mail:InvestorRelations@unicredit.
Załączniki
Plik Opis
Notice_to_holders_III_ENG.pdf
Notice_to_holders_III_ENG.pdf
Press Release

MESSAGE (ENGLISH VERSION)






PODPISY OSÓB REPREZENTUJĄCYCH SPÓŁKĘ
Data Imię i Nazwisko Stanowisko/Funkcja Podpis
2015-09-24
Wioletta Reimer

Attorney of UniCredit

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