Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1693 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
30/04/2012 |
62661
|
|
| TURBO CALL .IBEX 5700 EUR 1000/1 21/09/12 | 1,005,000 |
NL0010019600
|
Ma Ba
|
30/04/2012 |
62660
|
|
| TURBO CALL .IBEX 5500 EUR 1000/1 21/09/12 | 1,155,000 |
NL0010019592
|
Ma Ba
|
19/04/2012 |
62066
|
|
| BONUS CAP ISPA.AS +30% / -30% 1/1 21/06/13 | 2,642,000 |
NL0010019584
|
Ma Ba
|
19/04/2012 |
62065
|
|
| BONUS CAP TL5.MC +30% / -30% 1/1 21/06/13 | 2,025,000 |
NL0010019576
|
Ma Ba
|
19/04/2012 |
62064
|
|
| BONUS CAP TEF.MC +22% / -35% 1/1 20/09/13 | 6,930,000 |
NL0010019568
|
Ma Ba
|
19/04/2012 |
62063
|
|
| BONUS CAP REP.MC +27% / -25% 1/1 20/09/13 | 5,451,000 |
NL0010019550
|
Ma Ba
|
19/04/2012 |
62062
|
|
| BONUS CAP GAM.MC +28% / -30% 1/1 21/06/13 | 2,270,000 |
NL0010019543
|
Ma Ba
|
22/03/2012 |
61774
|
|
| WARRANT Call XAU= 1800.0 USD 100.0/1 21/12/12 | 570,000 |
NL0010118766
|
Ma Ba
|
22/03/2012 |
61773
|
|
| WARRANT Put XAG= 34.0 USD 10.0/1 21/12/12 | 185,000 |
NL0010118758
|
Ma Ba
|
22/03/2012 |
61772
|
|
| WARRANT Put XAG= 30.0 USD 10.0/1 21/12/12 | 120,000 |
NL0010118741
|
Ma Ba
|
22/03/2012 |
61771
|
|
| WARRANT Call XAG= 38.0 USD 10.0/1 21/12/12 | 130,000 |
NL0010118733
|
Ma Ba
|
22/03/2012 |
61770
|
|
| WARRANT Call XAG= 34.0 USD 10.0/1 21/12/12 | 185,000 |
NL0010118725
|
Ma Ba
|
22/03/2012 |
61769
|
|
| WARRANT Put LCOZ2 120.0 USD 10.0/1 12/11/12 | 540,000 |
NL0010118717
|
Ma Ba
|
22/03/2012 |
61768
|
|
| WARRANT Put LCOZ2 110.0 USD 10.0/1 12/11/12 | 375,000 |
NL0010118709
|
Ma Ba
|
22/03/2012 |
61767
|
|
| WARRANT Call LCOZ2 150.0 USD 10.0/1 12/11/12 | 195,000 |
NL0010118691
|
Ma Ba
|