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NOTES ISSUED BY TELECOM ITALIA S.p.A
ISIN
Code
Curr.
Type
Amou.
/Mil. (1)
Stock Exchanges
CouponDate issueDate matur.Issue  price %
XS1347748607EUR450*Luxembourg3.625%01/20/201601/19/202499.632
XS1935256369EUR950**Luxembourg4.000%01/11/201904/11/202499.436
US87927YAA01USD1,500Dublin5.303%05/30/201405/30/2024100
XS1497606365EUR1,000Luxembourg3.000%09/30/201609/30/202599.806
XS1982819994EUR1,000Luxembourg2.750%04/15/201904/15/202599.320
XS1846631049EUR 750 Luxembourg2.875%06/28/201801/28/2026100 
XS1419869885EUR1,000Luxembourg3.625%05/25/201605/25/2026100
XS1698218523EUR1,250Luxembourg2.375%10/12/201710/12/202799.185
XS2581393134EUR850
Luxembourg6.875%01/27/202302/15/2028100
EUR400Luxembourg6.875%04/12/202302/15/2028100,750
XS2637954582EUR750

Luxembourg

7.875%

07/20/2023

07/31/2028

99.996

EUR750

Luxembourg

7.875%

09/28/2023

07/31/2028

102

XS2288109676EUR1,000Luxembourg1.625%01/18/202101/18/202999.074
XS0214965963EUR670Luxembourg5,250%03/17/200503/17/205599.667

(1) Nominal repayment value net of repurchased bonds (in the case of convertible, posted at redemption price).

* Initial amount €750,000,000 repurchased for €300,000,000 on 20/07/2023

** Initial amount €1,250,000,000 repurchased for €300,014,000.00 on 20/07/2023