| 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 |