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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.

GREEN, SOCIAL AND SUSTAINABILITY BONDS
Prospectus supplement as at 02/08/24 (File pdf - 193 Kb)
Prospectus supplement as at 09/02/24 (File pdf - 209 KB)
Prospectus as at 21/12/23 (File pdf - 3.450 Kb)

ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE

ISSUE PR. (%)

FINAL TERMS
XS2804485915 EUR Fixed Rate 1,000,000,000 3.625% 16/04/24 16/10/30 99.307
XS2783772614 JPY Fixed Rate 35,000,000,000 1.273% 14/03/24 13/03/26 100.00
XS2783773778 JPY Fixed Rate 1,900,000,000 1.369% 14/03/24 12/03/27 100.00
XS2783774743 JPY Fixed Rate 200,000,000 1.860% 14/03/24 14/03/31 100.00

To be read in conjunction with: 

 

Prospectus supplement as at 09/02/24 (File pdf - 209 KB)

Prospectus as at 21/12/23 (File pdf - 3.450 Kb)


Documents               

Prospectus supplement as at 03/08/23 (File pdf - 217 Kb)  
Prospectus supplement as at 09/02/23 (File pdf - 693 Kb)
Prospectus as at 22/12/22 (File pdf - 3,833 Kb)
 
ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE ISSUE PR.  (%) FINAL TERMS
XS2630420268 GBP Fixed Rate
750,000,000
6.625% 31/05/23 31/05/33 98.603
XS2625196352 EUR Fixed Rate 1,250,000,000 4.875% 19/05/23 19/05/30 100.00
XS2625195891 EUR Fixed Rate 1,000,000,000 4.000% 19/05/23 19/05/26 99.884
XS2598063480 GBP Fixed Rate
SNP
600,000,000 6.500% 14/03/23 14/03/29 99.723
XS2592658947 EUR
Fixed Rate
SNP
750,000,000
5.625% 08/03/23
08/03/33 99.254
 
XS2592650373 EUR Fixed Rate
SNP
1,500,000,000
5.000% 08/03/23 08/03/28 99.629
 

To be read in conjunction with: 
  

Prospectus supplement as at 09/02/23 (File pdf - 693 Kb) 

Prospectus as at 22/12/22 (File pdf - 3,833 Kb)

Documents               

ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE ISSUE PR.  (%) FINAL TERMS
XS2545759099
EUR
Fixed Rate
750,000,000
5.250%
13/10/22
13/01/30
99.285
XS2529233814
EUR Fixed Rate
SNP
1,000,000,000
4.750%
06/09/22
06/09/27
100.00

To be read in conjunction with: 
 

Prospectus supplement as at 08/08/22 (File pdf - 202 Kb)
Prospectus supplement as at 12/05/22 (File pdf - 188 Kb)
Prospectus supplement as at 21/03/22 (File pdf - 166 Kb)
Prospectus supplement as at 15/02/22 (File pdf - 514 Kb)
Prospectus as at 22/12/21 (File pdf - 2,596 Kb)  


Documents               

Prospectus supplement as at 12/05/22 (File pdf - 188 Kb)
Prospectus supplement as at 21/03/22 (File pdf - 166 Kb)
Prospectus supplement as at 15/02/22 (File pdf - 514 Kb) 
Prospectus as at 22/12/21 (File pdf - 2,596 Kb)  
Documents
Starting from the reporting for the year 2021, the report sees the transition to the "Portfolio approach". On the basis of the "Portfolio approach", we move from a report on the allocation of income and environmental benefits for each bond to a report that estimates the impacts and benefits obtained for the entire portfolio of eligible loans for each of the green categories included in the Intesa Sanpaolo framework.
Prospectus supplement as at 15/02/22 (File pdf - 514 Kb) 
Prospectus as at 22/12/21 (File pdf - 2,596 Kb)  

Prospectus supplement as at 09/08/21 (File pdf - 194 Kb)  

Prospectus supplement as at 11/02/21 (File pdf - 288 Kb) 

Prospectus as at 22/12/20 (File pdf - 2,181 Kb)

ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE ISSUE PR.  (%) FINAL TERMS
XS2317069685
EUR Fixed Rate  1,250,000,000 0.750% 16/03/21 16/03/28 99.952

To be read in conjunction with: 
 

Prospectus supplement as at 11/02/21 (File pdf - 288 Kb) 

Prospectus as at 22/12/20 (File pdf - 2,181 Kb)


Documents

 

Prospectus supplement as at 11/08/20 (File pdf - 195 Kb)

Prospectus supplement as at 08/05/20 (File pdf - 164 Kb) 

Prospectus supplement as at 21/02/20 (File pdf - 207 Kb) 

Prospectus supplement as at 11/02/20 (File pdf - 244 Kb) 

Prospectus as at 20/12/19 (File pdf - 2,481 Kb)

               
ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE ISSUE PR.  (%) FINAL TERMS
XS2089368596 EUR Fixed Rate  750,000,000 0.750% 04/12/19 04/12/24 99.966

To be read in conjunction with: 

 

Prospectus supplement as at 12/08/19 (File pdf - 96 Kb) 

Prospectus supplement as at 11/02/19 (File pdf - 45 Kb) 

Prospectus as at 21/12/18 (File pdf - 1,892 Kb)

 

 

Documents       

 

 
ISIN CURRENCY TYPE FACE VALUE COUPON ISSUE DATE MATURITY DATE ISSUE PR.  (%) FINAL TERMS
XS1636000561 EUR Fixed Rate  500,000,000 0.875% 27/06/17 27/06/22 99.534

To be read in conjunction with: 

 

Prospectus supplement as at 10/02/17 (File pdf - 48 Kb) 

Prospectus as at 09/12/16 (File pdf - 1,964 Kb)

 

 

Documents

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