Investor documentation
This page contains:
This page contains:
| 19/20 RESULTS | INTERIM | ANNUAL |
| Report |
| 18/19 RESULTS | INTERIM | ANNUAL |
| Report |
| 17/18 RESULTS | INTERIM | ANNUAL |
| Report |
| 16/17 RESULTS | INTERIM | ANNUAL |
| Report |
| 15/16 RESULTS | INTERIM | ANNUAL |
| Report |
| 14/15 RESULTS | INTERIM | ANNUAL |
| Report |
| 13/14 Results | Interim | Annual |
| Report |
| 12/13 Results | Interim | Annual |
| Report |
| 11/12 Results | Interim | Annual |
| Report |
| 10/11 Results | Interim | Annual |
| Report |
| 09/10 Results | Interim | Annual |
| Report | ||
| Management Report |
| 08/09 Results | Interim | Annual |
| Report | ||
| Management Report |
| 07/08 Results | Interim | Annual |
| Report | ||
| Management Report |
| 06/07 Results | Interim | Annual |
| Report | ||
| Management Report |
| 05/06 Results | Interim | Annual |
| Report | ||
| Management Report |
| Year | Base Prospectus | Supplement |
| 2020 – Structured Note | 5 February 2020 |
|
| 2020 - EMTN Programme | 16 December |
|
| 2019 – Warrants | 11 July 2019 |
7 October |
| 2019 – Certificates | 24 May 2019 |
7 October |
| 2019 – Structured Note | 31 January 2019 |
7 October |
| 2019 - EMTN Programme | 21 December |
7 October |
| 2018 – Certificates & Warrants | 24 May |
15 November |
| 2018 - EMTN Programme | 24 January |
15 November |
| 2018 – Structured Note | 16 January |
15 November |
| 2017 – Certificates & Warrants | 16 March |
31 October |
| 2016 - Plain vanilla | 22 December |
10 November |
| 2016 – Structured Note | 03 Novembe |
|
| 2016 – Certificates & Warrants | 23 March |
|
| 2015 – Structured Note | 5 August |
18 November |
| 2015 – Certificates & Warrants | 23 December |
|
| 2015 - Plain vanilla | 19 December |
17 November |
| 2014 – Structured Note | 31 July |
17 February |
| 2014 – Certificates & Warrants | 6 March |
|
| 2014 - Plain vanilla | 27 January |
31 October |
| 2013 – Structured Note | 18 July |
24 October |
| 2013 – Certificates & Warrants | 12 March |
24 October |
| 2013 - Plain Vanilla | 23 January |
24 October |
| 2011 | 13 January |
|
| 30 November |
||
| 2009 | 16 December |
|
| 2008 | 12 December |
22 May |
| 2007 | 4 December |
5 October |
| 11 January |
21/07/2016 – ISSUER CREDIT EVENT NOTICE XS0862613089 (S161)
21/07/2016 – ISSUER CREDIT EVENT NOTICE XS0843741728 (S155)
28/10/2013 – Notice of partial redemption (XS0490431045)
06/04/2013 – Notice of Final Redemption Amount (XS0587536706)
05/31/2013 – Notice of Early Redemption (XS0587536706)
12/28/2012 – Notice of Final Redemption Amount (XS0284268447)
11/21/2012 – Notice of Early Redemption (XS0284268447)
10/30/2012 Comunicato Stampa di Mediobanca International
06/30/2012 – Basel II Pillar 3 – Mediobanca Group
13/01/2011- notification of the choice of home member state
| sECURITIES | DOCUMENTATIONS |
| Mediobanca International Issue of up to USD 500,000,000 Fixed Step Up Rate Notes due 29 March 2024 |
Traduzione di cortesia Final Terms Base Prospectus datato 24 gennaio 2018 Traduzione Nota di Sintesi del Base Prospectus Supplemento DEL 19 FEBBRAIO 2018 al Base Prospectus DEL 24 GENNAIO 2018 |