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Banca Intesa Archive: Prospectus

2006 MTN PROGRAMME

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0260456065
GBP Fixed/FRN
callable
Sub.LTII
5.50% 1,000,000.000
       
II Tranche XS0273608827 (temporary)
GBP Fixed/FRN
callable
Sub.LTII
5.50% 250,000,000
99.329 07/11/06 19/12/16
I Tranche XS0260456065
GBP  Fixed/FRN
callable
Sub.LTII
5.50% 750,000,000
99.709 19/07/06 19/12/16

 

Final Terms to be read in conjunction with:

 

 

 

to be read in conjunction with:

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)  ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0260456065
GBP Fixed/FRN
callable
Sub.LTII
5.50% 750,000,000 99.709 19/07/06 19/12/16

 

Final Terms to be read in conjunction with:

 

 

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
 
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0250793535
GBP FRN
 
3m GBP
Libor
+0.10%
150,000,000 99.865 26/04/06 26/04/11

Final Terms to be read in conjunction with:

 

 

 

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
 
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0249278655
EUR  FRN
 
3m Euribor +0.175%
750,000,000 99.904 11/04/06 11/04/13

 

Final Terms to be read in conjunction with:

  

 

 

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0213927667
EUR FRN
 
3m Euribor +0.20% 500,000,000        
II Tranche XS0246129299 (temporary)
EUR FRN
3m Euribor +0.20% 100,000,000 99.400 02/03/06 03/03/17
I Tranche XS0213927667
EUR FRN
 
3m Euribor +0.20% 400,000,000 99.578 03/03/05 03/03/17

 

Final Terms e Pricing supplement to be read in conjunction with:

 

 

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
 
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0245125256

EUR  Fixed rate 3.5%
600,000,000
99.869
24/02/06
24/02/11

 

Final Terms to be read in conjunction with:

 

 

 

ISIN CURRENCY
TYPE
COUPON
FACE VALUE
ISSUE PRICE (%)
 
ISSUE DATE
MATURITY DATE
"CONDIZIONI DEFINITIVE"
XS0242832599



EUR 

FRN

Sub.LTI

3m Euribor +0.25%

1,500,000,000

99.812

08/02/06

08/02/16

 

Final Terms to be read in conjunction with:

 

 

 

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