Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1564 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
14/05/2013 |
71321
| |
| WARRANT Put AMZN.OQ 260.0 USD 50.0/1 19/12/13 | 200,000 |
NL0010395059
|
Ma Ba
|
14/05/2013 |
71320
| |
| WARRANT Call AMZN.OQ 280.0 USD 50.0/1 20/12/13 | 210,000 |
NL0010395042
|
Ma Ba
|
14/05/2013 |
71319
| |
| WARRANT Put ALVG.DE 100.0 EUR 20.0/1 19/12/13 | 195,000 |
NL0010395034
|
Ma Ba
|
14/05/2013 |
71318
| |
| WARRANT Put ADSGn.DE 75.0 EUR 20.0/1 19/12/13 | 165,000 |
NL0010395026
|
Ma Ba
|
14/05/2013 |
71317
| |
| WARRANT Call ADSGn.DE 85.0 EUR 20.0/1 20/12/13 | 85,000 |
NL0010395018
|
Ma Ba
|
14/05/2013 |
71316
| |
| WARRANT Put AAPL.OQ 390.0 USD 50.0/1 19/09/13 | 200,000 |
NL0010395000
|
Ma Ba
|
14/05/2013 |
71315
| |
| WARRANT Call AAPL.OQ 450.0 USD 50.0/1 20/09/13 | 200,000 |
NL0010394995
|
Ma Ba
|
14/05/2013 |
71314
| |
| WARRANT Call AAPL.OQ 440.0 USD 50.0/1 20/12/13 | 295,000 |
NL0010394987
|
Ma Ba
|
14/05/2013 |
71313
| |
| WARRANT Call TL5.MC 6.6 EUR 2.0/1 20/12/13 | 100,000 |
NL0010394979
|
Ma Ba
|
14/05/2013 |
71312
| |
| WARRANT Call TL5.MC 6.0 EUR 2.0/1 20/09/13 | 108,000 |
NL0010394961
|
Ma Ba
|
14/05/2013 |
71311
| |
| WARRANT Put TEF.MC 10.5 EUR 2.0/1 19/12/13 | 405,000 |
NL0010394953
|
Ma Ba
|
14/05/2013 |
71310
| |
| WARRANT Call TEF.MC 12.5 EUR 2.0/1 20/12/13 | 105,000 |
NL0010394946
|
Ma Ba
|
14/05/2013 |
71309
| |
| WARRANT Call SVO.MC 1.6 EUR 1.0/1 20/12/13 | 63,000 |
NL0010394938
|
Ma Ba
|
14/05/2013 |
71308
| |
| WARRANT Put SAN.MC 5.0 EUR 2.0/1 19/12/13 | 225,000 |
NL0010394920
|
Ma Ba
|
14/05/2013 |
71307
| |
| WARRANT Put SAN.MC 4.5 EUR 2.0/1 19/12/13 | 142,500 |
NL0010394912
|
Ma Ba
|