NOTES ISSUED BY TELECOM ITALIA FINANCE S.A. (data as of 30/06/2017)  
ISIN
Code
Curr Type Stock Exchange
Amou.
/Mil. (1)
Coupon Date issue Date matur. Issue price
%
XS0161100515 EUR Bond Luxembourg 1,015 7.75% 24/01/03 24/01/2033 109.646
(1) Nominal repayment value net of repurchased bonds (in the case of convertible, posted at redemption price).