Da informativa della mia banca lo scambio forzoso delle obbligazioni 581 dic 38 step up della clientela retail si se' regolata in questi termini:
per ogni
1 EUR XS0205537581 ARG DC38 EUR PAR STEP UP
1 EUR XS2177365363 ARGENTINA STEP UP LG41 CALL
e
0,002044 EUR XS2200244072 ARGENTINA 0,50% LG29 CALL in cambio degli interessi non corrisposti
dall’ultima cedola pagata fino al 4 settembre 2020
Le caratteristiche dei titoli XS2177365363 ARGENTINA STEP UP LG41 CALL sono le seguenti:
CEDOLE 9 GENNAIO - 9 LUGLIO
SCADENZA 9 LUGLIO 2041
TASSI
1. From and including September 4, 2020 to
but excluding July 9, 2021: 0.125%
2. From and including July 9, 2021 to but
excluding July 9, 2022: 1.500%
3. From and including July 9, 2022 to but
excluding July 9, 2023: 2.750%
4. From and including July 9, 2023 to but
excluding July 9, 2029: 3.000%
5. From and including July 9, 2029 to but
excluding July 9, 2041: 4.500%
RIMBORSI
28 RIMBORSI PARZIALI
January 9, 2028, July 9, 2028, January 9,
2029, July 9, 2029, January 9, 2030, July
9, 2030, January 9, 2031, July 9, 2031,
January 9, 2032, July 9, 2032, January 9,
2033, July 9, 2033, January 9, 2034, July
9, 2034, January 9, 2035, July 9, 2035,
January 9, 2036, July 9, 2036, January 9,
2037, July 9, 2037, January 9, 2038, July
9, 2038, January 9, 2039, July 9, 2039,
January 9, 2040, July 9, 2040, January 9,
2041, July 9, 2041
PREZZO EMISSIONE 100/100
XS2200244072 ARGENTINA 0,50% LG29 CALL
CEDOLE 9 GENNAIO - 9 LUGLIO
SCADENZA 9 LUGLIO 2029
TASSI
0,50 % FISSO
RIMBORSI
10 RIMBORSI PARZIALI
January 9, 2025, July 9, 2025, January 9,
2026, July 9, 2026, January 9, 2027, July
9, 2027, January 9, 2028, July 9, 2028,
January 9, 2029, July 9, 2029
PREZZO EMISSIONE 100/100