Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1557 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
14/05/2013 |
71426
| |
| WARRANT Put XAU= 1350.0 USD 100.0/1 20/09/13 | 325,000 |
NL0010486239
|
Ma Ba
|
14/05/2013 |
71425
| |
| WARRANT Put XAU= 1300.0 USD 100.0/1 20/12/13 | 330,000 |
NL0010486221
|
Ma Ba
|
14/05/2013 |
71424
| |
| WARRANT Put XAU= 1250.0 USD 100.0/1 20/09/13 | 165,000 |
NL0010486213
|
Ma Ba
|
14/05/2013 |
71423
| |
| WARRANT Put XAU= 1200.0 USD 100.0/1 20/12/13 | 180,000 |
NL0010486205
|
Ma Ba
|
14/05/2013 |
71422
| |
| WARRANT Call XAU= 1600.0 USD 100.0/1 20/12/13 | 265,000 |
NL0010486197
|
Ma Ba
|
14/05/2013 |
71421
| |
| WARRANT Call XAU= 1550.0 USD 100.0/1 20/09/13 | 210,000 |
NL0010486189
|
Ma Ba
|
14/05/2013 |
71420
| |
| WARRANT Call XAU= 1500.0 USD 100.0/1 20/12/13 | 365,000 |
NL0010486171
|
Ma Ba
|
14/05/2013 |
71419
| |
| WARRANT Call XAU= 1450.0 USD 100.0/1 20/09/13 | 315,000 |
NL0010486163
|
Ma Ba
|
14/05/2013 |
71418
| |
| WARRANT Call XAU= 1400.0 USD 100.0/1 20/12/13 | 500,000 |
NL0010486155
|
Ma Ba
|
14/05/2013 |
71417
| |
| WARRANT Put XAG= 23.0 USD 10.0/1 20/12/13 | 89,808 |
NL0010486148
|
Ma Ba
|
14/05/2013 |
71416
| |
| WARRANT Put XAG= 22.0 USD 10.0/1 20/09/13 | 55,478.5 |
NL0010486130
|
Ma Ba
|
14/05/2013 |
71415
| |
| WARRANT Put XAG= 21.0 USD 10.0/1 20/12/13 | 56,753.5 |
NL0010486122
|
Ma Ba
|
14/05/2013 |
71414
| |
| WARRANT Put XAG= 20.0 USD 10.0/1 20/09/13 | 30,250 |
NL0010486114
|
Ma Ba
|
14/05/2013 |
71413
| |
| WARRANT Put XAG= 19.0 USD 10.0/1 20/12/13 | 33,900 |
NL0010486106
|
Ma Ba
|
14/05/2013 |
71412
| |
| WARRANT Call XAG= 29.0 USD 10.0/1 20/12/13 | 23,200 |
NL0010486098
|
Ma Ba
|