Trading prospectuses
BNP PARIBAS ISSUANCE, B.V.
Page 1558 out of 2279
Admission prospectus
Register date | Register number | prospectus | Fact sheet | Prospectus | nominal value | ISIN | Admission to regulated market |
14/05/2013 |
71411
| |
| WARRANT Call XAG= 28.0 USD 10.0/1 20/09/13 | 16,395.5 |
NL0010486080
|
Ma Ba
|
14/05/2013 |
71410
| |
| WARRANT Call XAG= 27.0 USD 10.0/1 20/12/13 | 36,200 |
NL0010486072
|
Ma Ba
|
14/05/2013 |
71409
| |
| WARRANT Call XAG= 26.0 USD 10.0/1 20/09/13 | 29,650 |
NL0010486064
|
Ma Ba
|
14/05/2013 |
71408
| |
| WARRANT Call XAG= 25.0 USD 10.0/1 20/12/13 | 57,113.5 |
NL0010486056
|
Ma Ba
|
14/05/2013 |
71407
| |
| WARRANT Call XAG= 24.0 USD 10.0/1 20/09/13 | 53,476.5 |
NL0010486049
|
Ma Ba
|
14/05/2013 |
71406
| |
| WARRANT Put LCOZ3 100.0 USD 10.0/1 31/10/13 | 320,000 |
NL0010486031
|
Ma Ba
|
14/05/2013 |
71405
| |
| WARRANT Put LCOZ3 90.0 USD 10.0/1 31/10/13 | 140,000 |
NL0010486023
|
Ma Ba
|
14/05/2013 |
71404
| |
| WARRANT Put LCOZ3 80.0 USD 10.0/1 31/10/13 | 45,000 |
NL0010486015
|
Ma Ba
|
14/05/2013 |
71403
| |
| WARRANT Call LCOZ3 130.0 USD 10.0/1 31/10/13 | 20,000 |
NL0010486007
|
Ma Ba
|
14/05/2013 |
71402
| |
| WARRANT Call LCOZ3 120.0 USD 10.0/1 31/10/13 | 50,000 |
NL0010485991
|
Ma Ba
|
14/05/2013 |
71401
| |
| WARRANT Call LCOZ3 110.0 USD 10.0/1 31/10/13 | 110,000 |
NL0010485983
|
Ma Ba
|
14/05/2013 |
71400
| |
| WARRANT Call LCOZ3 100.0 USD 10.0/1 31/10/13 | 230,000 |
NL0010485975
|
Ma Ba
|
14/05/2013 |
71399
| |
| WARRANT Put EUR= 1.24 USD 0.1/1 20/12/13 | 165,000 |
NL0010485967
|
Ma Ba
|
14/05/2013 |
71398
| |
| WARRANT Call EUR= 1.36 USD 0.1/1 20/12/13 | 215,000 |
NL0010485959
|
Ma Ba
|
14/05/2013 |
71397
| |
| WARRANT Call EUR= 1.3 USD 0.1/1 20/12/13 | 320,000 |
NL0010485942
|
Ma Ba
|