Mediobanca Issue of EUR 750,000,000 Fixed Rate Notes due 27 September 2022

ISIN: XS1689739347

Product Type: Plain Vanilla

trend

Maturity
Date

27/09/2022

Capital
Protection

100%

Currency

EUR

Issue
Date

27/09/2017

Issue not listed on the MOT

Product features

Issuer: Mediobanca
Issuer Rating: FITCH RATINGS BBB
STANDARD & POOR'S BBB
MOODY'S Baa1
Issue Date: 27/09/2017
Maturity Date: 27/09/2022
Minimum Quantity: 100,000
Coupon: annual fixed coupon equal to gross 0.625 per cent

Issue not listed on the MOT

Attached documents