Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1507 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
17/10/2013 |
74180
| |
| WARRANT Call XAG= 23.0 USD 5.0/1 19/09/14 | 105,000 |
NL0010553012
|
Ma Ba
|
17/10/2013 |
74179
| |
| WARRANT Call XAG= 22.0 USD 5.0/1 20/06/14 | 115,000 |
NL0010553004
|
Ma Ba
|
17/10/2013 |
74178
| |
| WARRANT Put EUR= 1.34 USD 0.1/1 21/03/14 | 305,000 |
NL0010552998
|
Ma Ba
|
17/10/2013 |
74177
| |
| WARRANT Put EUR= 1.32 USD 0.1/1 20/06/14 | 350,000 |
NL0010552980
|
Ma Ba
|
17/10/2013 |
74176
| |
| WARRANT Put EUR= 1.3 USD 0.1/1 19/09/14 | 380,000 |
NL0010552972
|
Ma Ba
|
17/10/2013 |
74175
| |
| WARRANT Put EUR= 1.26 USD 0.1/1 20/06/14 | 250,000 |
NL0010552964
|
Ma Ba
|
17/10/2013 |
74174
| |
| WARRANT Put EUR= 1.24 USD 0.1/1 19/09/14 | 285,000 |
NL0010552956
|
Ma Ba
|
17/10/2013 |
74173
| |
| WARRANT Call EUR= 1.5 USD 0.1/1 19/09/14 | 275,000 |
NL0010552949
|
Ma Ba
|
17/10/2013 |
74172
| |
| WARRANT Call EUR= 1.48 USD 0.1/1 20/06/14 | 240,000 |
NL0010552931
|
Ma Ba
|
17/10/2013 |
74171
| |
| WARRANT Call EUR= 1.44 USD 0.1/1 19/09/14 | 345,000 |
NL0010552923
|
Ma Ba
|
17/10/2013 |
74170
| |
| WARRANT Call EUR= 1.42 USD 0.1/1 20/06/14 | 310,000 |
NL0010552915
|
Ma Ba
|
17/10/2013 |
74169
| |
| WARRANT Call EUR= 1.38 USD 0.1/1 19/09/14 | 425,000 |
NL0010552907
|
Ma Ba
|
17/10/2013 |
74168
| |
| WARRANT Call EUR= 1.36 USD 0.1/1 20/06/14 | 400,000 |
NL0010552899
|
Ma Ba
|
03/10/2013 |
73852
|
|
| BONUS CAP VOWG_p.DE 113% - 80% EUR 1/1 19/12/14 | 8,497,500 |
NL0010552881
|
Ma Ba
|
03/10/2013 |
73851
|
|
| BONUS CAP TEF.MC 125% - 82% EUR 1/1 19/12/14 | 11,250,000 |
NL0010552873
|
Ma Ba
|