TIDM61HC

RNS Number : 6427O

J.P. Morgan Securities PLC.

03 October 2019

03Oct19

Not for distribution, directly or indirectly, in or into the United States or any jurisdiction in which such distribution would be unlawful.

Republic of Italy

Post-stabilisation Period Announcement

Further to the pre-stabilisation period announcement dated 02Oct19, J.P. Morgan Securities plc (contact: Emma Lovett 0207 134 2468), hereby gives notice that no stabilisation (within the meaning of Article 3.2(d) of the Market Abuse Regulation (EU/596/2014) or the rules of the Financial Conduct Authority) was undertaken by the Stabilisation Manager(s) named below in relation to the offer of the following securities.

 
 Issuer:                      Republic of Italy 
 Guarantor (if any):          N/A 
                             --------------------------------------------- 
 Aggregate nominal 
  amount:                     EUR 4,000,000,000 
                             --------------------------------------------- 
 Description:                 10Y BTPEURi notes due 15(th) May 2030. 
                               Coupon 0.4%. 
                               Listing: Borsa Italiana S.p.A. (M.O.T) 
                             --------------------------------------------- 
 Stabilisation Manager(s):    J.P. Morgan Securities plc (Stabilisation 
                               coordinator) 
                               Banca IMI (Stabilisation Manager(s)) 
                               BNP Paribas (Stabilisation Manager(s)) 
                               Natwest Markets (Stabilisation Manager(s)) 
                               Societe Generale (Stabilisation Manager(s)) 
                             --------------------------------------------- 
 Offer price:                 99.632 
                             --------------------------------------------- 
 

This announcement is for information purposes only and does not constitute an invitation or offer to underwrite, subscribe for or otherwise acquire or dispose of any securities of the Issuer in any jurisdiction

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

END

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October 03, 2019 03:44 ET (07:44 GMT)

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