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BNP Paribas 0.000% 19-Feb-2031

Issuer / Guarantor BNP Paribas
Size EUR 400mn
Type Convertible
Leads BNP Paribas
Maturity 19 Feb 2031 (5 years)
Coupon 0% (0%)
Premium 35% (35%)
Calls None
Puts t/o @ 100%
Div protection Ratio adjustment (Full)
T/o protection None
CoCo None
Announced 12 Feb 2026


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