Price sensitive press releases
03 September
-
Bond Issue - cod. ISIN IT0004365489
03 September
-
Notice to the noteholders
03 September
-
Notice to the noteholders
27 August
-
Bond Issue - Isin IT0004325673
27 August
-
Bond Issue - Isin IT0004289770
27 August
-
Bond issue - Isin IT0004325699
27 August
-
Bond Issue - Isin IT0004325665
09 August
-
Bond Issue - Cod. ISIN IT0004310626
04 August
-
"One for clients" Project
03 August
-
Consolidated results for first half 2010
30 July
-
Bond Issue - Isin IT0004415813
30 July
-
Bond Issue - Isin IT0004417389
30 July
-
Bond Issue - Isin IT0004416886
29 July
-
Bond Issue - Isin IT0004352248
29 July
-
Bond Issue - Isin IT0004310253
28 July
-
Bond Issue - Isin IT0004354244