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Transaction Summary
 
Principal Amount Outstanding on Issue Date
Currency
Issue Date
Final Legal Maturity Date
Listing
ISIN code
Indexation
Spread / Fixed Rate
Payment Frequency
Type of Amortisation
Class A NotesClass J Notes
89.400.00022.400.000
EUREUR
24 September 201824 September 2018
31 January 203831 December 2038
N.A.N.A.
IT0005346256IT0005346264
Euribor 6MN.A.
3,5000 %8,0000 %
Semi-annualSemi-annual
AmortisingAmortising