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-Stable
Moody'sB1Stable
FitchBB-Stable