HIPOCAT 11, FONDO DE TITULIZACION DE ACTIVOS from 17/07/2018 to 17/07/2018 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 17/07/2018 13:31 HIPOCAT 11, FONDO DE TITULIZACION DE ACTIVOS Securitisation funds - announcements on payment date Determinación del tipo de interés aplicable a la fecha de pago 15 de octubre de 2018 Register number: 267970 Corrected by 267832 of 12/07/2018 (16:08)