| 
					
						|  |  | 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 |  | Status |  | 
					
						
						| Class A Notes | Class B Notes | Class C Notes | 
|---|
 | 96.000.000 | 26.000.000 | 11.000.000 |  | EUR | EUR | EUR |  | 14 March 2023 | 14 March 2023 | 14 March 2023 |  | 28 October 2037 | 28 October 2037 | 28 October 2037 |  | Italy | Italy | Italy |  | IT0005534869 | IT0005534877 | IT0005534885 |  | Euribor 3M | Euribor 3M | N.A. |  | 1,7000 % | 6,0000 % | 10,0000 % |  | Quarterly | Quarterly | Quarterly |  | Pass-through | Pass-through | Pass-through |  | Still Outstanding | Still Outstanding | Still Outstanding |  |