Final Offer Price Notification in accordance with article 17 of the Prospectus
Regulation (EU) 2017/1129
ISIN : XS2999244671
Legal documentation: Base Prospectus for the Issue of Unsubordinated Notes of BNP
Paribas Issuance B.V., dated du 30 May 2024 and approved by the Autorité des Marchés
Financiers (AMF) under number 24-183 together with its Supplements available at
https://rates-globalmarkets.bnpparibas.com/documents/legaldocs/resourceindex.htm
and the Final Terms dated 5 May 2025.
The Final Terms dated 5 May 2025 have been filed with the AMF.
Subscription date Final offer price (in EUR) Aggregate nominal amount
(in EUR)
06 Nov 2025 0.8719 33000
05 Nov 2025 0.871 6000
04 Nov 2025 0.8725 14000
03 Nov 2025 0.8722 5000
29 Oct 2025 0.8737 6000
27 Oct 2025 0.8753 6000
24 Oct 2025 0.876 13000
23 Oct 2025 0.8768 8000
21 Oct 2025 0.8752 2000
17 Oct 2025 0.8757 7000
14 Oct 2025 0.8707 25000
10 Oct 2025 0.8693 10000
08 Oct 2025 0.86738 3000
02 Oct 2025 0.8671 2000
30 Sep 2025 0.8647 5000
14 July 2025 0.8596 1000
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