ISIN Code IT0005086886 Tranche 3rd Coupon(*) 1.35% Issue Date

Ministero dell’Economia e delle Finanze
Auction Results: 7 YEAR BTP
Date: March 12, 2015
ISIN Code
Tranche
Coupon(*)
Issue Date
Maturity Date
Auction Date
Settlement Date
Amount Max Offered
Amount Min Offered
Amount Bid
Amount Allotted
Allotment Price
Bid To Cover Ratio
Gross Yield
Accrued Coupon Days
Placement Fee
Price for Individual Investors
Price for fiscal purpose
Amount Offered to Specialists
IT0005086886
3rd
1.35%
February 16, 2015
April 15, 2022
March 12, 2015
March 16, 2015
3,000.000
2,500.000
4,463.767
3,000.000
104.40
1.49
0.71%
28
0.30%
104.400000
100.000
450.000
Issue Volume
Outstanding
Amounts allotted to Specialists in
supplementary placements and/or
syndacated
8,200.000
1,200.000
(*) First short coupon: 0.215110% with accrual period: 16 Feb 2015 - 15 Apr 2015
(58 days) - After the first, the ordinary cycle will be: 15 Oct - 15 Apr
Nominal Amounts are expressed in millions of Euros.
Gross Yields are calculated on 365 days basis.