28 July 2025Consolidation of the bonds (temporary ISIN XS3078563874) with the bonds denominated “290,500,000 4.625 per cent. Bonds due 21 June 2029” (ISIN XS2799786848)
20 June 2025Notice on issue and start of trading of the fungible bond, to be consolidated, with the bond denominated “290,500,000 4.625 per cent. Bonds due 21 June 2029”. Bonds issue resolution made available.
9 June 2025Notice on early closure few minutes after the launch of the offering relating to the fungible bond, to be consolidated, with the bond denominated “290,500,000 4.625 per cent. Bonds due 21 June 2029”
5 June 2025Notice on issue price relating to the fungible bond, to be consolidated, with the bond denominated “290,500,000 4.625 per cent. Bonds due 21 June 2029”
26 May 2025Approval of the offering and listing prospectus relating to the fungible bond, to be consolidated, with the bond denominated “290,500,000 4.625 per cent. Bonds due 21 June 2029”