European rating agency. Objective, transparent, independent.
European rating agency. Objective, transparent, independent.

Preferred Senior Unsecured

Banca IMI S.p.A.

Rating History

Rating Watch Outlook Decision Date Action Validity Date Maximum Validity
n.r. 07.08.2020 11.08.2020 11.08.2020
BBB Watch NEW 24.03.2020 28.03.2020
BBB 02.07.2019 04.07.2019
BBB Watch UNW 18.06.2019 21.06.2019
BBB 31.08.2018 05.09.2018

News

  • 11.08.2020
    Creditreform has set the rating of Banca IMI S.p.A. to not rated (n.r.). In addition, Creditreform has set the ratings of the bank capital and debt classes Additional Tier 1, Tier 2 and Preferred Senior Unsecured to not rated (n.r.). The ratings were withdrawn following the merger of Banca IMI S.p.A. into its parent company Intesa Sanpaolo S.p.A (Group).
  • 28.03.2020
    Creditreform Rating has set the rating of all valid bank ratings and bank issues to watch negative due to the currently not assessable impact of the Corona Crisis. Not affected by this rating action are government related banks. We refer to the free available Monitoring Report for a more detailed explanation.
  • 04.07.2019
    Creditreform Rating has affirmed the rating of Banca IMI S.p.A. at BBB. The outlook is stable. In addition, Creditreform Rating has affirmed the rating of Additional Tier 1 at B+, the rating of Tier 2 at BB- and the rating of Preferred Senior Unsecured Debt (after reclassification from Senior Unsecured Debt) at BBB.
  • 21.06.2019
    Creditreform Rating AG has revised its rating methodology for the rating of "Bank Capital and Unsecured Debt Instruments". Henceforth, only the revised version of the rating methodology ("Version 2.0") will be applied. Moreover, all current ratings of bank capital and unsecured bank instruments will be reviewed as part of our current monitoring and receive therefore the rating supplement "watch". Our revised rating methodology can be found at www.creditreform-rating.de.
  • 05.09.2018
    Creditreform Rating has set the rating of Banca IMI S.p.A. to BBB, with stable outlook. Creditreform Rating has also determined the ratings of the debt classes as follows. The rating of Additional Tier 1 was set to B+, the rating of Tier 2 to BB- and the rating of the Senior Unsecured to BBB.

ISIN Liste

ISIN Action Validity Date Maximum Validity
XS2171245819 19.06.2020 11.08.2020
XS2080581346 17.04.2020 11.08.2020
XS2106550853 08.02.2020 11.08.2020
XS2109438387 05.02.2020 11.08.2020
XS2086630469 09.01.2020 11.08.2020
XS2084131981 21.12.2019 11.08.2020
XS2071406602 19.11.2019 11.08.2020
XS2017329561 13.07.2019 11.08.2020
XS2005631820 28.06.2019 11.08.2020
XS2013682609 27.06.2019 11.08.2020
XS1982093921 27.06.2019 11.08.2020
XS1779700423 27.06.2019 11.08.2020
XS1774146465 27.06.2019 11.08.2020
XS1998797077 05.06.2019 11.08.2020
XS1958656982 14.03.2019 11.08.2020
XS1950366671 09.03.2019 11.08.2020
XS1937018841 26.01.2019 11.08.2020
IT0005000218 03.12.2018 30.04.2020
IT0005030702 03.12.2018 22.07.2020
IT0005246902 03.12.2018 22.07.2020
XS1379091546 03.12.2018 11.08.2020
XS1588019817 03.12.2018 22.07.2020
IT0004936545 03.12.2018 30.08.2019
IT0004990302 03.12.2018 19.02.2019
IT0005069627 03.12.2018 19.12.2018
XS1254411736 03.12.2018 22.07.2020
XS1490787113 03.12.2018 11.08.2020
XS1650145029 03.12.2018 11.08.2020
IT0004957020 03.12.2018 31.10.2019
IT0005023970 03.12.2018 03.06.2020
IT0005158537 03.12.2018 22.07.2020
XS1341083555 03.12.2018 11.08.2020
XS1551929760 03.12.2018 11.08.2020
XS1720194981 03.12.2018 22.07.2020
IT0004965627 03.12.2018 15.11.2019
IT0004766587 03.12.2018 22.07.2020
IT0005029134 03.12.2018 01.08.2019
IT0004961360 03.12.2018 04.11.2019
IT0001304341 03.12.2018 22.07.2020
XS1740252827 03.12.2018 10.01.2020
XS1685354653 03.12.2018 22.07.2020
XS1520729614 03.12.2018 11.08.2020
XS1259647706 03.12.2018 22.07.2020
IT0005107120 03.12.2018 04.06.2020
IT0004953151 03.12.2018 31.10.2019
XS1608207566 03.12.2018 11.08.2020
XS1394283078 03.12.2018 22.07.2020
XS0508527842 03.12.2018 30.06.2020
IT0005038630 03.12.2018 22.07.2020
IT0004965650 03.12.2018 11.11.2019
IT0004863723 03.12.2018 18.10.2019
IT0005161580 03.12.2018 22.07.2020
XS1369274425 03.12.2018 11.08.2020
XS1822868698 03.12.2018 22.07.2020
XS1691784372 03.12.2018 11.08.2020
XS1534969511 03.12.2018 11.08.2020
XS1298740314 03.12.2018 22.07.2020
IT0005139966 03.12.2018 22.07.2020
IT0005023699 03.12.2018 03.06.2020
IT0004953292 03.12.2018 09.10.2019
XS1614419619 03.12.2018 07.07.2020
XS1433102214 03.12.2018 22.06.2020
XS1252215485 03.12.2018 22.07.2020
IT0005042087 03.12.2018 22.07.2020
IT0004967623 03.12.2018 06.01.2020
IT0004906308 03.12.2018 04.06.2019
XS1854164024 03.12.2018 11.08.2020
XS1567900102 03.12.2018 08.01.2020
XS1839081202 03.12.2018 11.08.2020