Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1513 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
30/07/2013 |
73191
| |
| WARRANT Put XAG= 16.0 USD 10.0/1 21/03/14 | 20,000 |
NL0010550778
|
Ma Ba
|
30/07/2013 |
73190
| |
| WARRANT Call XAG= 22.0 USD 10.0/1 21/03/14 | 30,000 |
NL0010550760
|
Ma Ba
|
30/07/2013 |
73189
| |
| WARRANT Call XAG= 21.0 USD 10.0/1 21/03/14 | 45,000 |
NL0010550752
|
Ma Ba
|
30/07/2013 |
73188
| |
| WARRANT Call XAG= 20.0 USD 10.0/1 21/03/14 | 55,000 |
NL0010550745
|
Ma Ba
|
30/07/2013 |
73187
| |
| WARRANT Call XAG= 19.0 USD 10.0/1 20/12/13 | 65,000 |
NL0010550737
|
Ma Ba
|
30/07/2013 |
73186
| |
| WARRANT Put EUR= 1.28 USD 0.1/1 21/03/14 | 425,000 |
NL0010550729
|
Ma Ba
|
30/07/2013 |
73185
| |
| WARRANT Put EUR= 1.26 USD 0.1/1 21/03/14 | 385,000 |
NL0010550711
|
Ma Ba
|
30/07/2013 |
73184
| |
| WARRANT Call EUR= 1.4 USD 0.1/1 21/03/14 | 320,000 |
NL0010550703
|
Ma Ba
|
30/07/2013 |
73183
| |
| WARRANT Call EUR= 1.34 USD 0.1/1 21/03/14 | 400,000 |
NL0010550695
|
Ma Ba
|
30/07/2013 |
73182
| |
| WARRANT Call EUR= 1.32 USD 0.1/1 21/03/14 | 435,000 |
NL0010550687
|
Ma Ba
|
30/07/2013 |
73181
| |
| WARRANT Put XOM.N 90.0 USD 10.0/1 19/06/14 | 325,000 |
NL0010550679
|
Ma Ba
|
30/07/2013 |
73180
| |
| WARRANT Put XOM.N 90.0 USD 10.0/1 19/12/13 | 235,000 |
NL0010550661
|
Ma Ba
|
30/07/2013 |
73179
| |
| WARRANT Put XOM.N 85.0 USD 10.0/1 20/03/14 | 195,000 |
NL0010550653
|
Ma Ba
|
30/07/2013 |
73178
| |
| WARRANT Put XOM.N 80.0 USD 10.0/1 19/06/14 | 165,000 |
NL0010550646
|
Ma Ba
|
30/07/2013 |
73177
| |
| WARRANT Call XOM.N 110.0 USD 10.0/1 20/06/14 | 155,000 |
NL0010550638
|
Ma Ba
|