Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1506 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
17/10/2013 |
74195
| |
| WARRANT Put XAU= 1050.0 USD 100.0/1 19/09/14 | 105,000 |
NL0010553160
|
Ma Ba
|
17/10/2013 |
74194
| |
| WARRANT Call XAU= 1650.0 USD 100.0/1 19/09/14 | 115,000 |
NL0010553152
|
Ma Ba
|
17/10/2013 |
74193
| |
| WARRANT Call XAU= 1600.0 USD 100.0/1 20/06/14 | 100,000 |
NL0010553145
|
Ma Ba
|
17/10/2013 |
74192
| |
| WARRANT Call XAU= 1550.0 USD 100.0/1 19/09/14 | 175,000 |
NL0010553137
|
Ma Ba
|
17/10/2013 |
74191
| |
| WARRANT Call XAU= 1500.0 USD 100.0/1 20/06/14 | 165,000 |
NL0010553129
|
Ma Ba
|
17/10/2013 |
74190
| |
| WARRANT Call XAU= 1450.0 USD 100.0/1 19/09/14 | 265,000 |
NL0010553111
|
Ma Ba
|
17/10/2013 |
74189
| |
| WARRANT Call XAU= 1400.0 USD 100.0/1 20/06/14 | 265,000 |
NL0010553103
|
Ma Ba
|
17/10/2013 |
74188
| |
| WARRANT Call XAU= 1300.0 USD 100.0/1 20/06/14 | 410,000 |
NL0010553095
|
Ma Ba
|
17/10/2013 |
74187
| |
| WARRANT Put XAG= 22.0 USD 5.0/1 19/09/14 | 175,000 |
NL0010553087
|
Ma Ba
|
17/10/2013 |
74186
| |
| WARRANT Put XAG= 21.0 USD 5.0/1 20/06/14 | 110,000 |
NL0010553079
|
Ma Ba
|
17/10/2013 |
74185
| |
| WARRANT Put XAG= 20.0 USD 5.0/1 19/09/14 | 100,000 |
NL0010553061
|
Ma Ba
|
17/10/2013 |
74184
| |
| WARRANT Call XAG= 28.0 USD 5.0/1 19/09/14 | 30,000 |
NL0010553053
|
Ma Ba
|
17/10/2013 |
74183
| |
| WARRANT Call XAG= 26.0 USD 5.0/1 20/06/14 | 35,000 |
NL0010553046
|
Ma Ba
|
17/10/2013 |
74182
| |
| WARRANT Call XAG= 25.0 USD 5.0/1 19/09/14 | 65,000 |
NL0010553038
|
Ma Ba
|
17/10/2013 |
74181
| |
| WARRANT Call XAG= 24.0 USD 5.0/1 20/06/14 | 65,000 |
NL0010553020
|
Ma Ba
|