Bonds Issued

Issuer: Wind Tre S.p.A.
IsinSenior NoteDate of IssuanceAmountCopuon at IssueMaturity
XS1082636876 (RegS) XS1082637098 (144A)Senior Secured Notes due 2023 (EUR)November 3, 2017€ 1,625 mln2.625 %January 20, 2023
XS1708450215 (RegS) XS1708490864 (144A)Senior Secured Floting Notes due 2024 (EUR)November 3, 2017€ 2,250 mlnEURIBOR 3M + 412.5 bpsJanuary 20, 2023
XS1708450561 (RegS) XS1708491169 (144A)Senior Secured Notes due 2025 (EUR)November 3, 2017€ 1,750 mln3.125 %January 20, 2023
XSS1708417438 (RegS) X Note IT0005291163 (144A) N Note IT0005291155 (144A) X Receipt US973147AD31 (144A) N Receipt US973147AB74 (144A)Senior Secured Notes due 2026 (USD)November 3, 2017US $ 2,000 mln5.000 %January 20, 2023

Rating

Rating AgencyRatingOutlook
S&PBB-Negative
Moody'sB1Stable
FitchB+Positive

Analysts

CompanyAnalyst
Royal Bank of ScotlandStephane Kovatchev
Barclays CapitalDaniel Rekrut
Credit SuisseLee Hope
CitigroupBrian Abdelhadi
Deutsche BankVivek Khanna
Intermonte SIMAndrea Randone
J.P. MorganAndrew Webb
New Street ResearchAlastair Jones
Bank of america Merrill LynchTerry Nguyen
Société Genérale Robert H Jaeger
Exane DerivativesBenjamin Sabahi
Jyske BankRasmus Justesen
ODDO BHFPierre Merveille