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Banca Intesa Archive: Prospectus

PROSPECTUS ISSUES NOT LISTED ON REGULATED MARKETS (ITALIAN ONLY) 2006
ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE PRICE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE"
IT0004150501
Euro Fixed rate - Step down
4%          
II Tranche       500,000,000 100% 22/12/06 22/12/08
I Tranche       221,205,000 100% 22/12/06 22/12/08

"Condizioni definitive" to be read in conjunction with: 

 

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE PRICE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE"
IT0004150493
Euro Fixed rate 
3.40%          
II Tranche       500,000,000 100% 22/12/06 22/12/10
I Tranche       52,600,000 100% 22/12/06 22/12/10

"Condizioni definitive" to be read in conjunction with: 

 

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE PRICE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE"
IT0004150485
Euro Floating rate   3m Euribor -0.35%            
II Tranche       500,000,000 100% 22/12/06 22/12/10
I Tranche       11,280,000 100% 22/12/06 22/12/10

"Condizioni definitive" to be read in conjunction with: 

 

ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004099419 (*)

(*) Listed as of 03/04/2007

Euro 464,062,000
10/11/06
10/11/12

"Nota informativa" to be read in conjunction with: 

 

ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004099377

Euro 92,492,000
29/09/06
29/09/08

"Nota informativa" to be read in conjunction with: 

 

ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004081912

Euro 4,564,000
29/09/06
29/09/10

"Nota informativa" to be read in conjunction with: 

 

ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004099393

Euro 37,602,000
29/09/06
29/09/10
"Nota informativa" to be read in conjunction with: 
ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004078025(*)

(*) Listed as of 21/12/2006

Euro 815,555,000
25/09/06
25/09/12
"Nota informativa" to be read in conjunction with: 
ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004093511

Euro 160,710,000
31/08/06
31/08/08
"Nota informativa" to be read in conjunction with: 
ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004093503

Euro 78,830,000
31/08/06
31/08/10
"Condizioni definitive" to be read in conjunction with: 
ISIN CURRENCY FACE VALUE ISSUE DATE MATURITY DATE "NOTA INFORMATIVA"

IT0004081615

Euro 7,779,000
31/08/06
31/08/10
"Nota informativa" to be read in conjunction with: 
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