BNP Paribas - Actionnaires et Investisseurs

Lower Tier 2

ISIN CodeIssue dateMaturityCouponCoupon after 1st callCcyIssue Amt (in m)First call dateTapCalledInstrumentDocument(s) ISIN
FR0013381704
20/11/201820/11/20302.375% resettable on 20/11/2025EUR50020/11/2025
  • FR0013381704 (pdf, En, 345 Ko)
US05581KAC53, US05581LAC37
13/03/201713/03/20274.625%USD1 250Non-callable
  • 144A: US05581KAC53 <br/> Reg S: US05581LAC37 (pdf, En, 49 Ko)
XS1485725854
09/09/201609/03/20274.625%AUD280Non-callable
  • XS1485725854 (pdf, En, 1.4 Mo)
XS1470601656
11/08/201611/01/20272.25%EUR750Non-callable
  • XS1470601656 (pdf, En, 1.2 Mo)
XS1423878591
31/05/201631/05/20285%AUD54531/05/2023
  • XS1423878591 (pdf, En, 270 Ko)
US05565AAR41
12/05/201612/05/20264.375%USD1 250Non-callable
  • US05565AAR41 (pdf, En, 31 Ko)
XS1378880253
11/03/201601/10/20262.875%EUR750Non-callable
  • XS1378880253 (pdf, En, 1.3 Mo)
XS1325645825
27/11/201527/01/20262.75%EUR750Non-callable
  • XS1325645825 (pdf, En, 213 Ko)
US05581KAA97
28/09/201528/09/20254.375%USD1 000Non-callable
  • US05581KAA97 (pdf, En, 64 Ko)
XS1199956712
17/03/201517/03/20255% resettable to Floating Rate from 17/03/2020CNH1 50017/03/2020
  • XS1199956712 (pdf, En, 594 Ko)
  • Notice fixed interest calculation (pdf, En, 80 Ko - 07 oct 2015)
XS1190632999
17/02/201517/02/20252.375%EUR1 500Non-callable
  • XS1190632999 (pdf, En, 300 Ko - 17 fév 2015)
XS1120649584
14/10/201414/10/20272.625% resettable on 14/10/2022EUR75014/10/2022
  • XS1120649584 (pdf, En, 1.3 Mo - 10 oct 2014)
US05579T5G71
14/10/201415/10/20244.250%USD1 000Non-callable
  • US05579T5G71 (pdf, En, 89 Ko - 07 aoû 2014)
XS1046827405
20/03/201420/03/20262.875% resettable on 20/03/21EUR1 50020/03/2021
  • XS1046827405 - Erratum (pdf, En, 256 Ko - 14 jan 2015)
  • XS1046827405 (pdf, En, 685 Ko - 18 mar 2014)
XS0320303943
25/04/200807/09/20175.431%EUR500Non-callable
  • XS0320303943 - Part 2 (pdf, En, 157 Ko)
FR0010517334
28/09/200728/09/20175.200%EUR375Non-callable
  • FR0010517334 (pdf, Fr, 583 Ko)
XS0320303943
07/09/200707/09/20175.431%EUR1 100Non-callable
  • XS0320303943 - Part 1 (pdf, En, 135 Ko)
FR0010203240
29/06/200529/06/2017Inflation linkedEUR159.30Non-callable
  • FR0010203240 (pdf, Fr, 123 Ko)
US05567MAA36
24/06/200524/06/20154.800%USD750Non-callable
  • US05567MAA36 (pdf, En, 451 Ko)
FR0010092189
25/11/200428/06/2016Inflation linkedEUR155.81Non-callable
  • FR0010092189 (pdf, Fr, 441 Ko)
FR0000189219
27/06/200327/06/20154.250%EUR160.13Non-callable
  • FR0000189219 (pdf, Fr, 59 Ko)
XS0142073419
24/01/200224/01/20225.75%GBP350Non-callable
  • XS0142073419 (pdf, En, 140 Ko)