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Bondholders

This section of Atlantia's website is dedicated to Atlantia's bondholders.
Atlantia, under the Medium Term Note (MTN) Programme, issued bonds with a total par value of € 9,650 million divided into the ussues described as follows:
     

Bond               

ISIN Code

Currency    

Type

Par value

Coupon interest

 

Atlantia 2004-2014
XS0193947271
Euro
Bond
     2,213.9* E/M
5%

Atlantia 2004-2022

XS019394214
GBP
Bond
  500 GBP/M
6.25%
Atlantia 2004-2024
XS0193945655
Euro
Bond
     1,000 E/M
5.875%
Atlantia 2009-2016
XS0427290357
Euro
Bond
     1,500 E/M
5.625%
Atlantia 2010-2017
XS0542522692
Euro
Bond
     1,000 E/M
3.375%
Atlantia 2010-2025
XS0542534192
Euro
Bond
     500 E/M
4.375%


The offering circulars and listing prospectuses for the bond, the information documents on the issuer, the terms and conditions, and the notices concerning the financial instruments were published in accordance with the aplicable rules and regulations. Please note that none of the securities above described are proposed for sale or offered by any company of the Group.

Bondholders' Common Representative appointed pursuant to art. 2417 of the Italian Civil Code by the Court of Roma are:

 

  • prof. Daniela Saitta, as Common Representative of the
    • “Atlantia 2004 – 2014” bond of €2,213.9mln* for the years 2010-2012,
    • “Atlantia 2004 – 2024” bond of €1,000mln for the years 2010-2012;
  • prof. Emanuele D’Innella, Common Representative of the “Atlantia 2004 – 2022” bond of £500mln for the years 2010-2012;
  • dott. Paola Russo, as Common Representative of the "Atlantia 2009-2016" bond
  • dott. Tiziana Salvatori, as Common Representative of the
    • “Atlantia 2010 – 2017” bond of €1,000mln for the years 2011-2013,
    • “Atlantia 2010 – 2025” bond of €500mln for the years 2011-2013;

Bondholders' Common Representative can be contacted at the following e-mail address:rappresentanti.obbligazionisti@atlantia.it

 


*Par value updated as a result of the repurchase of the notes finalized in February 2012 (par value at the date of issuance: €2,750m)