The Ministry of Economy, following the press release of 21st December 2011, announces the nominal amounts of the CCTs and BTPs tranches to be auctioned on the 29th December.
- On the run CCT indexed to 6-month euribor ("CCTeu")
issue date / maturity date: 15th April 2011/2018; 11^ tranche
ISIN: IT0004716319
nominal amount at issuance:
from a minimum of 500 millions of euro to a maximum of 1,000 millions of euro
- On the run BTPs:
issue date / maturity date: 15th November 2011/2014; 3^ tranche
ISIN: IT0004780380
nominal amount at issuance:
from a minimum of 2,000 millions of euro to a maximum of 3,000 millions of euro
issue date / maturity date: 1st September 2011/1st March 2022; 9^ tranche
ISIN: IT0004759673
nominal amount at issuance:
from a minimum of 1,500 millions of euro to a maximum of 2,500 millions of euro
- Off the run BTP:
issue date / maturity date: 1st March 2011/1st September 2021; 15^ tranche
ISIN: IT0004695075
nominal amount at issuance:
from a minimum of 1,000 millions of euro to a maximum of 2,000 millions of euro