4 August 2025
By this notice, Credito Emiliano Holding S.p.A. (the Issuer) elects and notifies the holders of the Notes that it will redeem all outstanding Notes on the Interest Payment Date falling on 16 September 2025 (the Redemption Date), in accordance with Condition 5.3 (Redemption at the Option of the Issuer (Issuer Call)) of the terms and conditions (the Conditions) contained in the Listing Particulars dated 14 September 2020.
BNP PARIBAS, Luxembourg Branch (the Fiscal Agent) and the Noteholders are hereby informed that all outstanding Notes will be redeemed in whole on 16 September 2025 at 100% of their principal value, together with any accrued and unpaid interest to, but excluding, the Redemption Date. Finally, in accordance with Condition 5.6 (Cancellations), all Notes so redeemed will be cancelled.
CREDITO EMILIANO HOLDING S.P.A.