{"clientID":"2b71d197-0c21-4234-ba98-2689b888f985","signature":"664610f33aa0503128c41216cec8b65f079ea4ee9ece982d6c7d6715d0fc4e88","encryption":"68cad83b4246825bd81d4bc1059d4620","keyID":"183b753b-7f28-af43-f453-4bd93774f44a","user":"C1AAFC8C323DFDA567B3CD7D0E48C3DD","clientIDSh":"1d9f34e6-7f26-427f-a9d8-0fa45b27a1ca","signatureSh":"664610f33aa0503128c41216cec8b65f079ea4ee9ece982d6c7d6715d0fc4e88","encryptionSh":"68cad83b4246825bd81d4bc1059d4620","keyIDSh":"16eb5dfd-e4eb-6b7e-4294-8fc82de1428e","userSh":"C1AAFC8C323DFDA567B3CD7D0E48C3DD"}

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.

SUPPLEMENTARY NOTICE

09/02/2007

Notice to the holders of the outstanding:  

• ISIN: XS 0096374359; Banca Intesa S.p.A. EUR 300,000,000, CMS Notes due 2014
• ISIN: IT 0001362935, Banca Intesa S.p.A., EUR 100,000,000, CMS Notes due 2014

• ISIN: XS 0102100897, Banca Intesa S.p.A., EUR 150,000,000; CMS Notes due 2019  


09/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0088475925, Banca Intesa S.p.A., EUR 200,000,000, Floating Rate Subordinated Deposit Instruments due 2008


09/02/2007

Notice to the holders of the outstanding notes issued under the Programme:

• EUR 35,000,000,000, Global Medium Term Note Programme, Banca Intesa S.p.A. and Intesa Bank Ireland p.l.c.


09/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0083091594, Intesa Bank Overseas Limited, ITL 200,000,000,000, Subordinated Guaranteed Floating Rate Notes due 2008

• ISIN: XS 0085866753, Intesa Bank Overseas Limited, ITL 250,000,000,000, Subordinated Guaranteed Floating Rate Notes due 2008

• ISIN: XS 0087975958, Intesa Bank Overseas Limited, ITL 800,000,000,000, Subordinated Guaranteed Floating Rate Notes due 2008

• ISIN: XS 0082765289, Intesa Bank Overseas Limited, USD 500,000,000, Subordinated Guaranteed Floating Rate Notes due 2008


09/02/2007

Notice to the holders of the outstanding:

• ISIN: USU 073101029, BCI US Funding Trust II, EUR 550,000,000, Non-cumulative Trust Preferre Securities

• ISIN: USU 073081064, BCI US Funding Trust III, GBP 120,000,000, Non-cumulative Trust Preferred Securities


09/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0131944323, Intesa BCI Preferred Securities Investor Trust, EUR 500,000,000, 6.988% Non-cumulative Fixed/Floating Rate Guaranteed Trust Preferred Securities


09/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0054262943, Deutsche Bank International Trust Co. (Jersey) Limited, deposits accepted by Intesa Sanpaolo S.p.A., ITL 150,000,000,000, Zero Coupon Notes due 2009


07/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0096374359, Banca Intesa S.p.A., EUR 300,000,000, CMS Notes due 2014

• ISIN IT 0001362935, Banca Intesa S.p.A., EUR 100,000,000, CMS Notes due 2014

• ISIN: XS 0102100897, Banca Intesa S.p.A., EUR 150,000,000, CMS Notes due 2019


07/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0107510983, IntesaBCI S.p.A., EUR 65,000,000, Subordinated CMS Linked Notes due 2015

• ISIN: XS 0107999707, IntesaBCI S.p.A., EUR 750,000,000, Fixed Rate Notes due 2010

• ISIN: XS 0125218049, IntesaBCI S.p.A., EUR 50,000,000, Subordinated CMS Linked Notes due 2015


07/02/2007

Notice to the holders of the outstanding:

• ISIN: XS 0054262943, Deutsche Bank International Trust Co. (Jersey) Limited, deposits accepted by Intesa Sanpaolo S.p.A., ITL 150,000,000,000, Zero Coupon Notes due 2009


{"toolbar":[{"label":"Refresh","url":"","key":"update-page"},{"label":"Print","url":"","key":"print-page"},{"label":"Request for Annual Reports","url":"/en/investor-relations/request-for-annual-reports","key":"business-budget"},{"label":"Financial Calendar","url":"/en/investor-relations/financial-calendar","key":"financial-calendar"}]}