It has been decided to admit the following structured bond for trading and official listing with effect from 18 October 2016:
ISIN Name Yearly Payments Currency Maturity date
nom. per year
XS1504085041 DB UniCredit 0,0% 4 EUR 27 October 2017
Autocallable 2017
For further information please contact: Morten Østergaard, Surveillance, tlf: 33 93 33 66 |