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Prospectus

The prospectus relating to the securities issued by Intesa Sanpaolo from January 1, 2007, date when the merger between Banca Intesa and Sanpaolo IMI took effect, can be found on this page. As regards the securities issued before that date, please refer to the previous websites of the two banks by clicking on the links shown below.

PROSPECTUS ISSUES NOT LISTED ON REGULATED MARKETS (ITALIAN ONLY): 2013 ISSUES

FIXED RATE ISSUES

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004974322 Euro Fixed rate 1.80% 53,720,000 30/12/13 30/12/16
IT0004967706 Euro Fixed rate 2.00% 40,130,000 11/12/13 11/12/18
IT0004965791 Euro Fixed rate 2.60% 233,380,000 15/11/13 15/11/17

Notice of increase of the total maximum amount of the bond issue (File pdf, 73 KB)

Notice of increase of the total maximum amount of the bond issue (File pdf, 73 KB)

IT0004960057 Euro Fixed rate 2.60% 111,340,000 16/10/13 16/10/16
IT0004960040 Euro Fixed rate 2.30% 163,210,000 16/10/13 16/10/16
IT0004960024 Euro Fixed rate 1.75% 76,190,000 16/10/13 16/10/15

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 07/10/13 (File pdf, 118 KB)  

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004953367 Euro Fixed rate 2.20% 149,910,000 18/09/13 18/09/16
IT0004953359 Euro Fixed rate 2.50% 250,710,000 18/09/13 18/09/16
IT0004953342 Euro Fixed rate 1.70% 103,900,000 18/09/13 18/09/15

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004931355 Euro Fixed rate 1.75% 81,850,000 10/07/13 10/07/16
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)
IT0004931249 Euro Fixed rate 2.20% 198,010,000 10/07/13 10/07/16
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 05/06/13 (File pdf, 93 KB)

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004909005 Euro Fixed rate 2.50% 332,580,000 15/05/13 15/05/16
IT0004908999 Euro Fixed rate 2.00% 342,709,000 15/05/13 15/05/15
IT0004908858 Euro Fixed rate 3.00% 475,690,000 15/05/13 15/05/16
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)
IT0004908841 Euro Fixed rate Step up 406,340,000 15/05/13 15/05/19
IT0004898794 Euro Fixed rate 2.10% 349,556,000 10/04/13 10/04/15
Notice of amendment (File pdf, 50 KB)
IT0004898497 Euro Fixed rate 2.75% 592,520,000 10/04/13 10/04/16
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)
IT0004898273 Euro Fixed rate Step up 473,370,000 10/04/13 10/04/19
Notice of increase of the total maximum amount of the bond issue (File pdf, 50 KB)

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 30/05/12 (File pdf, 235 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004887896 2nd tranche Euro Fixed rate Step up 155,086,000 08/02/13 08/02/19
IT0004887870 
2nd tranche
Euro Fixed rate  2.20% 197,385,000 08/02/13 08/02/16
IT0004887896 Euro Fixed rate Step up 179,414,000 08/02/13 08/02/19
IT0004887870 Euro Fixed rate  2.20% 193,058,000 08/02/13 08/02/16
IT0004871965 Euro Fixed rate Step up 527,763,000 18/01/13 18/01/19
Notice of increase of the total maximum amount of the bond issue (File pdf, 50 KB)

"Condizioni definitive" to be read in conjunction with:

 

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 30/05/12 (File pdf, 235 KB)

FLOATING RATE ISSUES

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004974348 Euro Floating rate Euribor 3m + 1.80% 36,290,000 30/12/13 30/12/18
IT0004965809 Euro Floating rate Euribor 3m + 2.20% 152,640,000 15/11/13 15/11/18
IT0004960016 Euro Floating rate Euribor 3m + 2.10% 51,390,000 16/10/13 16/10/18

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 07/10/13 (File pdf, 118 KB)

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004953383 Euro Floating rate Euribor 3m + 2.15% 64,080,000 18/09/13 18/09/18
IT0004940182 Euro Floating rate Euribor 3m + 2.25% 74,680,000 07/08/13 07/08/18

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004931264 Euro Floating rate Euribor 3m + 2.00% 43,640,000 10/07/13 10/07/18

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 05/06/13 (File pdf, 93 KB)

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004909013 Euro Floating rate Euribor 3m + 2.75% 587,250,000 15/05/13 15/05/18
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)
IT0004898265 Euro Floating rate Euribor 3m + 2.25% 36,480,000 10/04/13 10/04/18

 

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 30/05/12 (File pdf, 235 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004887508 2nd tranche Euro Floating rate Euribor 3m + 2.00% 25,417,000  08/02/13 08/02/18

 

IT0004887508 Euro Floating rate Euribor 3m + 2.00% 26,856,000 08/02/13 08/02/18

 

IT0004871973 Euro Floating rate Euribor 3m + 2.55% 18,673,000  18/01/13 18/01/18
IT0004872823 Euro Floating rate Euribor 3m + 2.55% 58,960,000  21/01/13 21/01/18

"Condizioni definitive" to be read in conjunction with:

 

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 30/05/12 (File pdf, 235 KB)

FIXED/FLOATING RATE ISSUES

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004974876 Euro Fixed/Floating rate cap and floor 4.00% / Euribor 3m + 1.15% 24,830,000 13/12/13 13/12/19

 

IT0004974439 Euro Fixed/Floating rate cap and floor 2.00% / Euribor 3m + 1.00% 58,100,000 30/12/13 30/12/17

 

IT0004961105 Euro Fixed/Floating rate cap and floor 4.00% / Euribor 3m + 1.50% 80,780,000 18/10/13 18/10/19

 

"Condizioni definitive" to be read in conjunction with: 

 

"Supplemento al Prospetto di Base" Consob as at 07/10/13 (File pdf, 118 KB)

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)  

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB) 

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004953615 Euro Fixed/Floating rate cap and floor 4.00% / Euribor 3m + 1.50% 164,790,000 18/09/13 18/09/19

 

IT0004940455 Euro Fixed/Floating rate cap and floor 4.00% / Euribor 3m + 1.50% 60,160,000 09/08/13 09/08/19

 

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 29/07/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 09/07/13 (File pdf, 486 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

ISIN CURRENCY TYPE COUPON FACE VALUE ISSUE DATE MATURITY DATE "CONDIZIONI DEFINITIVE" + "NOTA DI SINTESI"
IT0004931389 Euro Fixed/Floating rate cap and floor 3.50% / Euribor 3m + 1.50% 439,580,000 10/07/13 10/07/19
Notice of increase of the total maximum amount of the bond issue (File pdf, 49 KB)

"Condizioni definitive" to be read in conjunction with:

 

"Supplemento al Prospetto di Base" Consob as at 05/06/13 (File pdf, 93 KB)

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 05/06/2013 (File pdf, 226 KB)

"Supplemento al Prospetto di Base" Consob as at 03/04/13 (File pdf, 93 KB)

"Prospetto di Base" Consob as at 26/07/12 (File pdf, 498 KB)

"Documento di Registrazione Intesa Sanpaolo" Consob as at 30/05/12 (File pdf, 235 KB)  

SUBORDINATED LOWER TIER II FIXED RATE ISSUES

SUBORDINATED LOWER TIER II FLOATING RATE ISSUES

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