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Isin:
Global Products
Global
Name
ISIN
Issue of EUR 30,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
XS2311700574
EUR 30,000,000 Digital Coupon SPS Reverse Convertible Index linked Notes due 2 January 2034
FR00140067B8
EUR 30,000,000 Index linked Notes due 16 December 2033
XS2300928426
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P EURO 50 EQUAL
FR0014006BI2
By Country
Austria
Name
ISIN
Asien Anleihe 11/14-02/21
XS1083662905
Test
Aktienanleihe Classic auf RWE AG
DE000PN99E87
5Y 6M 110% Kapitalschutz Plus mit Cap auf Nestle SA in EUR
DE000PC990D6
Express Kupon Zertifikat auf Siemens Energy AG
DE000PC99284
Express Bonus Zertifikat auf MSCI World Quality Innovation Select 50 Decrement 5% (EUR) Index in EUR
DE000PC99EL0
Belgium
Name
ISIN
Up to 25,000 Phoenix EUR Certificates relating to the Share of Danone
XS0361354177
Up to 25,000 "Phoenix Plus" EUR Certificates relating to the AEX Index
XS0360260227
Up to 5,000 "Fast Metis" EUR Certificates relating to 4 Shares
XS0381357325
Up to 200,000 "Range" EUR Certificates relating to DAX Index
XS0386815244
200,000 Fund Warrants due March 2019 linked to Parwold Track Continental Europe Fund Euros
NL0006191827
Argentabond 2015
XS0410364276
Fixed Rate Notes with Index Linked Redemption
XS0412541905
6 Year EMTN Best-In Driver on 20 stocks
XS0414999317
EUR 8,000,000 Notes linked to the Carmignac patrimoine Fund due September 2014
XS0432097524
A.BOND 2015/10/02 BEST-IN
XS0435722615
A.BOND 2014/10/30 EMERGING MARKETS
XS0436523624
A.BOND 2012/11/06 BOOST CLIQUET
XS0440587664
A.BOND 2014/11/20 PATRIMOINE
XS0440587748
A.BOND 2015/12/11 BEST-IN
XS0441137592
EUR 8,000,000 Index linked Interest Notes due 28 August 2014
XS0429574881
5,000 up to 25,000 BNP Paribas Energy Callable 2013 Certificates relating to Dow Jones STOXX 600 Gas
XS0447768713
2014/11/20 CORTAL CONSORS - PATRIMOINE 5
XS0448242130
"2014/11/28 OPTIMI PATRIMOINE"
XS0454590125
"2012/11/06 BONUS ON TOTAL"
XS0454378091
"2012/11/06 TEMPO ON DJ EUROSTOXX 50"
XS0454378927
A.BOND 2015/02/12 EMERGENTS
XS0457772944
A.BOND 2016/01/29 PATRIMOINE
XS0458163200
A. Bond 2016/01/25 Grey Gold
XS0455489376
A. Bond 2013/02/05 Vitaclick
XS0461089574
2012/12/21 BONUS SUR TOTAL
XS0464428498
2,736 up to 50,000 "A.Bond 2016/02/12 Best-In" Certificates in EUR relating to a Basket of 20 Shares
XS0454038406
4,000 up to 40,000 "A.Bond 2013/04/09" Certificates in EUR relating to a Basket of 20 Shares due 9 A
XS0473578531
400 up to 20,000 "A.BOND 2016/04/04 GREY GOLD" Certificates in EUR relating to a Dynamic Basket with
xs0474301354
2,000 up to 40,000 A Bond 2016/05/02 Best-In Certificates in EUR relating to a Basket of 20 Shares d
XS0477171911
Up to 5,000 "High 5" Certificates in EUR relating to EuroStoxx 50 Index due 21 April 2015
XS0487664558
Up to 20,000 "A.Bond 2013/06/11 3 Year Coupon" Certificates in EUR relating to a Basket of 20 Shares due 11 June 2013
XS0492878441
Up to 40,000 "A.Bond 2016/07/04 Maxi Plus" Certificates in EUR relating to a basket of 25 Shares due 4 July 2016
XS0496413542
6,000 up to 20,000 "A.Bond 2013/08/13 3 Year Coupon" Certificates in EUR relating to a Basket of 25 Shares due 13 August 2013
XS0505770239
Up to 40,000 "A.Bond 2016/08/22 Maxi Plus" Certificates in EUR relating to a Basket of 25 Shares due 22 August 2016
XS0508390365
Up to 20,000 "A.BOND 2016/09/05 H2O" Certificates in EUR relating to a dynamic basket with a variable exposure to the BNP Paribas Global Water Excess Return Index 15 due 5 September 2016
XS0504251264
Up to 40,000 "A.Bond 2016/10/10 Maxi Plus" Certificates in EUR relating to a Basket of 25 Shares due 10 October 2016
XS0518088785
Up to 20,000 "A.BOND 2013/10/15 3 Year Coupon" Certificates in EUR relating to a Basket of 25 Shares due 15 October 2013
XS0522967909
Up to 40,000 "A.BOND 2016/12/12 Maxi Plus" Certificates in EUR relating to a Basket of 25 Shares due 12 December 2016
XS0529604281
Up to 20,000 "A.BOND 2013/12/17 3 Year Coupon Certificates in EUR, relating to a basket of 25 Shares, due 17 December 2013
XS0538726380
2,000 up to 12,000 EUR “A.BOND 2017/01/09 GOLDEN GENERATION” Certificates relating to a Dynamic Basket with a variable exposure to the BNP Paribas Global Grey Gold Excess Return Index due 9 January 2017
XS0543690696
Up to 20,000 EUR “A.BOND 2014/02/18 3 Year Coupon” Certificates relating to a Basket of 25 Shares due 18 February 2014
XS0552418484
Up to 40,000 EUR “A.BOND 2017/02/13 Maxi Plus” Certificates relating to a Basket of 25 Shares due 13 February 2017
XS0545673161
300,000 up to 1,000,000 Bonus Certificates on France Telecom
NL0009583616
Up to 20,000 EUR “A.BOND 2014/04/15 3 Year Coupon” Certificates relating to a Basket of 25 Shares due 15 April 2014
XS0566895594
Commodity Certificate UBS
XS0597650513
Up to 20,000 EUR “A.BOND 2017/05/12 Best-In” Certificates relating to a Basket of 25 Shares due 12 May 2017
XS0589446888
Up to 20,000 EUR “A.BOND 2014/06/24 3 Year Coupon” Certificates relating to a Basket of 25 Shares due 24 June 2014
XS0593959124
Up to 12,000 EUR "A.BOND 2017/06/26 German Growth" Certificates relating to a Basket of 20 Shares due 26 June 2017
XS0602971771
Up to 40,000 EUR “A.BOND 2017/07/17 Best-In” Certificates relating to a Basket of 25 Shares due 17 July 2017
XS0611580811
Up to 12,000 EUR “A.BOND 2017/06/12 Investissement” Certificates relating to Carmignac Investissement due 12 June 2017
XS0594877523
Up to 12,000 EUR “A.BOND 2017/08/21 Patrimoine Coupon (65)” Certificates relating to the Carmignac Patrimoine Fund due 21 August 2017
XS0630504230
Up to 20,000 EUR “A.BOND 2015/08/26 4 Year Coupon (62)” Certificates relating to a Basket of 25 Shares due 26 August 2015
XS0614936382
Up to 12,000 EUR “A.BOND 2017/09/01 Emerging Opportunities (63)” Certificates linked to a Basket of Mutual Funds due 1 September 2017
XS0637822114
Up to 12,000 EUR “A.BOND 2017/09/01 Best-of (64)” Certificates linked to a Basket of Mutual Funds due 1 September 2017
XS0632844246
250,000 EUR "BONUS Certificates" relating to FRANCE TELECOM
NL0009583616
Up to 60,000 EUR “A.BOND 2017/09/18 Maxi Plus (66)" Certificates relating to a Basket of 25 Shares due 18 September 2017
XS0630967502
BNP Paribas Interest Cover Callable 2019
A.Bond 2014/07/24 EMERGING MARKETS
ETS Fortuneo
25,000 EUR American Style Call Warrants linked to Fund Shares of the Parworld Track Continental Europe Fund ISIN Code: NL0010026431
NL0010026431
8-year EUR Notes Switched-to-Bond linked to Solactive European Deep Value Select 50 Index
XS1189336487
5-year EUR Cancellable Notes linked to iSTOXX Europe Next Dividend Low Risk
XS1189336057
Issue of up to EUR 100,000,000 Series SA-323 Notes due May 2026
XS1356786944
Issue of up to EUR100,000,000 Series SA-321 Index Linked Notes due May 2024
XS1189335836
Issue of up to EUR100,000,000 Series SA-322 Index Linked Notes due May 2021
XS1189335752
Up to EUR100,000 Series SA-326 Notes due June 2026 linked to Ethical Europe Climate Care Index
XS1356741253
Up to EUR100,000,000 Series SA-324 Notes due June 2021 linked to Solactive Eurozone Exporters Effici
XS1356741410
Issue of up to EUR100,000,000 Series SA-325 Notes due June 2026
XS1356741337
Issue of up to EUR100,000,000 Series SA-329 Notes due July 2026
XS1356741170
Issue of up to EUR100,000,000 Series SA-331 Notes due August 2023
XS1356740792
Issue of up to EUR100,000,000 Series SA-332 Notes due August 2026
XS1356740529
Issue of up to EUR100,000,000 Series SA-333 Notes due August 2021 linked to a custom index
XS1356740362
up to EUR100,000,000 Series SA-334 Notes due August 2026 linked to Ethical Europe Climate Care Index
XS1356740289
Issue of up to EUR100,000,000 Series SA-328 Notes due July 2021 linked to Solactive Eurozone Exporte
XS1356740958
Issue of up to EUR100,000,000 Series SA-327 Notes due July 2026
XS1356741097
Issue of up to EUR100,000,000 Series SA-335 Notes due September 2026 Index Linked
XS1356740107
Issue of up to EUR100,000,000 Series SA-336 Notes due September 2021 Index linked
XS1356740016
Up to EUR100,000,000 Series SA-338 Notes due October 2026 linked to the iStoxx Europe Next Dividend
XS1356739869
Up to EUR100,000,000 Series SA-339 Notes due October 2026 linked to the Solactive BrandFinance Europ
XS1356739786
SA-337
XS1356739943
Up to EUR100,000,000 Series SA-341 Notes due November 2026 linked to the iStoxx Europe Next Dividen
XS1356739513
Up to EUR50,000,000 Series SA-340 Notes due November 2021 linked to the iSTOXX Europe Next Dividend
XS1356739604
Issue of up to EUR50,000,000 Series SA-342 Notes due December 2021 linked to the iSTOXX Europe
XS1356739430
Issue of up to EUR100,000,000 Series SA-343 Notes due December 2026 linked to the iStoxx Europe
XS1410526328.
Issue of up to EUR100,000,000 Series SA-344 Notes due December 2026 linked to the Solactive Index
XS1410522335
Issue of up to EUR100,000,000 Series SA-345 Notes due August 2026
XS1410522178
up to EUR100,000,000 Series SA-349 Notes due January 2027 linked to the Solactive BrandFinance Europ
XS1410521873
up to EUR100,000,000 Series SA-348 Notes due January 2027 linked to the iStoxx Europe Next Dividend
XS1410521790
up to EUR50,000,000 Series SA-347 Notes due January 2022 linked to the iSTOXX Europe Next Dividend L
XS1410521956
Up to EUR100,000,000 Series SA-346 Notes due January 2027
XS1410522095
Up to EUR100,000,000 Series SA-351 Notes due February 2021 linked to STOXX Global Select 100 Index
XS1410521444
Up to EUR100,000,000 Series SA-352 Notes due February 2027
XS1410521527
Series SA-353 Notes due March 2027 linked to the iStoxx Europe Next Dividend Low Risk 50 Index
XS1410521287
Series SA-354 Notes due March 2021 linked to STOXX Global Select 100 Price EUR Index
XS1410521105
Series SA-355 Notes due March 2027
XS1410521360
Series SA-350 Notes due February 2027 linked to the iStoxx Europe Next Dividend Low Risk 50 Index
XS1410522418
Series SA-357 Notes due April 2021 linked to STOXX Global Select 100 Price EUR Index
XS1486524223
Series SA-356 Notes due April 2027 linked to the Solactive European Deep Value Select 50 Index
XS1410521014
Series SA-358 SA Interest Note 042027 due April 2027
XS1486524140
Series SA-360 Notes due May 2027 linked to the Solactive European Deep Value Select 50 Index
XS1486523845
Series SA-361 Notes due May 2021 linked to STOXX Global Select 100 Price EUR Index
XS1486523928
Series SA-362 Notes linked to CMS30Y and CMS2Y due May 2027
XS1486524066
up to EUR50,000,000 Series SA-366 Index linked Notes due June 2022
XS1486523761
Series SA-365 Notes due June 2025 linked to Solactive European Deep Value Select 50 Index
XS1486523688
Series SA-368 Notes due July 2025 linked to Solactive European Deep Value Select 50 Index
XS1486523332
Series SA-369 Notes due July 2021 linked to STOXX Global Select 100 Price EUR Index
XS1486523415
SA-370 Notes due August 2022 linked to STOXX Europe Select 50 Price EUR Index
XS1486522953
Series SA-371 Notes due August 2025 linked to Solactive European Deep Value Select 50 Index
XS1486523092
Series SA-372 Notes linked to CMS30Y and CMS2Y due August 2027
XS1486523175
SA-379
XS1616236011
Up to EUR50,000,000 Series SA-377 Notes
XS1486522367
Up to EUR50,000,000 Index linked Series SA-378 Notes due October 2027
XS1486522441
SA-373
XS1486522524
SA-374
XS1486522797
SA-380
XS1616235989
SA-381
XS1616236284
SA-382
XS1616236102
Series SA-383 Index-linked Notes due December 2027
XS1616235807
Series SA-384 Index-linked Notes due December 2022
XS1616235716
Series SA-385 Notes due December 2027
XS1616235559
Up to EUR50,000,000 Series SA-388 Notes due January 2024 linked to the EUROSTOXX® 50 Index
XS1616235476
Up to EUR 50,000,000 Series SA-386 Notes due January 2028
XS1616235393
Series SA-391 Notes due March 2024 linked to the EUROSTOXX® 50 Index
XS1616234743
Series SA-390 Notes due March 2028 linked to the STOXX Europe ESG Leaders Select 30 EUR Index
XS1616235120
Series SA-389 Notes due March 2028
Series SA-387 Notes due January 2028 linked to the STOXX Europe ESG Leaders Select 30 EUR Index
XS1616235633
Series SA-392 Notes due Apri 2028
XS1616234826
SA-393
XS1616264404
SA-394
XS1616234586
up to EUR 50,000,000 Series SA-397 Notes due July 2028
XS1616234156
up to EUR50,000,000 Series SA-398 Notes due July 2023
XS1704833083
up to EUR 50,000,000 Series SA-399 Notes due July 2026
XS1704832861
SA-395
XS1616234230
Series SA-400 Interest Note due August 2028
XS1704832945
SA 2017-401
XS1704832788
BNP Paribas Issuance B.V. (NL) Fund Opportunity NOK 2023
XS1810431483
Series SA-402 Notes due 16 October 2023 linked to the Euronext Benelux ESG Leaders 20 Price Return
XS1704832515
SA-404
XS1704832432.
Series SA-405 Notes due Decmber 2028 linked to the Euronext Eurozone 150 EW Decrement 5% Index
XS1704832275.
Up to 25,000 Certificates linked to the ACATIS ? Gane Value Event Fund due 20 May 2024
XS1947211618
Issue of up to EUR50,000,000 Series SA-409
XS1704831624
CE355ANV_Bpost_Euro MTF_Deep Value World Coupon_Index
XS1964177452
CE356ANV_Bpost_Euro MTF_Deep Value World 092025_Index
XS1964177965
Issue of up to 50,000000 Callable Step Up Fixed Rate Securities due 29 October 2029
XS1523729819
Up to 500,000 EUR "BNP Paribas Issuance BV (NL) on Solactive Human Capital World 10/2025 (90)"
XS1996187255
BNP Paribas (FR) Green Opportunity 2025 (90)"
XS2052515025
BNP Paribas Issuance BV (NL) Human Capital World Lock Certificate (90) 01/26
XS2030666510
Up to 25,000 EUR "BNP Paribas (FR) Green Accelerator Certficate (90) 2025" Certificates
XS2082885638
BNP Paribas Issuance BV (NL) Human Capital World Lock Certificate (90) 03/26
XS1338531467
BNP Paribas Issuance BV (NL) Human Capital Callable Certificate 03/2032
XS2041375101
CE0116AVI Deep Value World Coupon 2025 on Index
XS2049217339
CE0098AVI Europe Autocallable 2025 on Index
XS2049217255
Booster Note Climate Care Low Carbon 2025
XS2053644634
BNP Paribas Issuance BV (NL) Booster Start Lookback USD 2026
XS2065806072
BNP Paribas (FR) Green Accelerator (90) 2027
XS2126160790
200811 BNP Paribas Issuance BV (NL) Human Capital Callable Certificate
XS2101201817
200811 BNP Paribas Issuance BV (NL) Human Capital World Lock (90) 08/2026 Certificates
XS2101201734
BNP Paribas Issuance (NL) Human Capital Minimum Yield USD 2028 on Solactive Human Capital World MV I
XS2126405815
Up to 250,000 EUR "BNP Paribas Issuance BV (NL) Human Capital World Lock (90) 09/2026" Certificates
XS2145689852
Up to 250,000 EUR "BNP Paribas Issuance BV (NL) Human Capital Callable Certificate 09/2032" Certific
XS2144371049
Up to 25,000 EUR "BNP Paribas (FR) Callable Green Certificate 2027" Certificates relating to SOHUMAN
XS2237419671
Up to 250,000 EUR "BNP Paribas Issuance BV (NL) Eurozone Exporters Participation (100) 03/2033"
XS2204170695
BNP Paribas Issuance BV (NL) Global Water Lookback Participation 03/2030 (90)
XS2333423783
3Y Reverse Convertible advanced New on S&P EuroUSAJapan 100 Net Zero 2050 Paris-Aligned Select 5
XS2387951259
Up to EUR 25,000,000 Series SUVVLUXR0004 Inflation linked Notes due May 2033 under the Secured Note
XS2368695636
Issue of up to EUR 40,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities
XS2445941151
up to EUR 200,000,000 BNP Paribas IBV (NL) Fixed to Floating CMS Linked Coupon 2029 due 10 May 2029
XS2471583752
CE02681AVI_BNP Paribas IBV (NL) Fixed to Floating CMS Linked Coupon 2029
XS2504137691
Issue of up to EUR 50,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due
XS2471583836
Issue of up to EUR 100,000,000 BNP Paribas IBV (NL) Social Bond Callable Interest due 23 August 2027
XS2517535808
Issue of up to EUR 100,000,000 BNP Paribas IBV (NL) Social Bond Callable Interest due 4 October 2027
XS2531601529
Issue of EUR 46,939,000 Callable Interest Note 01/2029 due 17 January 2029
XS2545656287
Issue of Issue of EUR 18,980,000 Callable Interest Note 11/2032.2 due 8 November 2032
XS2522885388
Issue of up to EUR 200,000,000 BNP Paribas IBV (NL) Fixed to Floating CMS Linked Coupon 2027
XS2606078124
6Y BNP Paribas Issuance BV (NL) Global Select Coupon Plus 2029 on EU_SDGP, EUR in EUR
XS2642220524
BNP Paribas Issuance BV (NL) Fixed to Floating CMS Linked Coupon 2028
XS2606080294
5Y Bond + Call Spread on EURO STOXX 50 ESG Price in EUR
XS2749363805
Issue of up to EUR 200,000,000 BNP Paribas Issuance BV (NL) Fixed to Floating CMS Linked Coupon 12-2
XS2883748308
BNP Paribas Issuance B.V. (NL) Lock-in Certificate MSCI World 2030 en USD
XS2940950632
up to EUR 200,000,000 BNP Paribas Issuance BV (NL) Fixed to Floating CMS Linked Coupon 04-2029
XS2952056872
Range Multi Chance on Basket of 15 Stocks
Issue of EUR 8,785,000 Fixed Rate to Share Linked Interest Notes due 3 July 2015
Croatia
Name
ISIN
Athena WO" Certificates relating to 3 Shares due 4 December 2026
XS2310442996
6,50% BNP Fix Coupon Express Note on Amazon.com 23-27
XS2664558520
3Y Autocallable Reverse Convertible on DE_ADS in EUR
XS2330369351
1Y Reverse Convertible Germany on Alphabet Inc, MICROSOFT CORP and NVIDIA Corp in EUR Quanto
XS2741444165
Up to 50,000 EUR Quanto "Athena Worst-of" Certificates relating to a basket of shares due 31 May 202
XS2749281668
3Y Autocallable Reverse Convertible on NVIDIA Corp in EUR Quanto
XS2759169431
Czech Republic
Name
ISIN
Up to 100,000 CZK "Bond + Call Certificate Quanto" Certificates
XS0793159079
Up to 100,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4
Up to 50,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR
XS0774406150
Up to 50,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR
Up to 30,000 CZK Call Quanto Certificates relating to the BNP Paribas Platinium Index Series 4 EUR
XS0877046614
45,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER
XS0877033984
55,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER
XS0925925298
50,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER
XS0925893405
20,000 USD Reverse Convertible Worst-of Certificates relating to a Basket of 4 Shares due 9 Decemb
XS0962036835
100,000 CZK Autocallable Reverse Convertible Worst-of Quanto? Certificates relating to a Basket of
XS0993377455
70,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER
XS0962024740
70,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER d
XS0961988762
40,000 USD ?Reverse Convertible Worst-of Quanto? Certificates relating to a Basket of 4 Shares due 6
XS0993309375
70,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER du
XS1029833784
60,000 CZK Reverse Convertible Worst-of Quanto Certificates relating to a Basket of 4 Shares due 1
XS1029826226
70,000 CZK "Call Quanto" Certificates relating to the BNP Paribas Platinium Index Series 4 EUR ER d
XS1029833867
40,000 USD Reverse Convertible Worst-of Certificates relating to a Basket of 4 Shares due 29 August
XS1061066145
Reverse Convertible Worst-of
XS1083601788
"Reverse Convertible Worst-of"
XS1083667961
30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 6 March
XS1113811944
3,000 USD "Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 17 April 2017
XS1167461406
40,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Underlyings due 17
XS1190467420
30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 31 May
XS1190468311
Autocallable Reverse Convertible Worst-of
XS1222268168
50,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 7 Augus
XS1222268242
30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 9 Octob
XS1251295280
30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 30 Octo
XS1251305006
Call Certificates
XS1251223456
25,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 13 Febr
20,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 12 Marc
30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares
XS1338492892
7,500 CZK "Athena Airbag" Certificates relating to the S&P GSCI® Crude Oil Excess Return Index
XS1338552208
Up to 30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 3 Indices
XS1422306743
11,000 USD "Capped Double" Certificates relating to Safran SA Share due 10 October 2017
XS1422323086
40,000 CZK "Reverse Convertible" Certificates relating to Macy's Inc Share due 7 August 2018 ISIN Co
XS1288733923
Up to 50,000 CZK "Capped Twin Win" Certificates relating to AstraZeneca PLC Share due 7 March 2019
XS1489623089
Up to 50,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 8
XS1512140374
Up to 20,000 CZK "Athena Worst-of " Certificates relating to EURO STOXX 50® and iShares MSCI Emergi
XS1288770537
Up to 60,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 3
XS1496209237
Up to 20,000 CZK "Athena Airbag" Certificates relating to S&P GSCI Crude Oil Excess Return Commodity
XS1549058987
Up to 40,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 6
XS1549000476
Up to 15,000 USD "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares
XS1577080820
Up to 20,000 CZK "Reverse Convertible Worst-of" Certificates relating to a hybrid Basket composed of
XS1582782352
Up to 30,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares due 9
XS1598531363
50,000 CZK "Call " Quanto Certificates relating to STOXX® Global ESG Leaders Select 50 EUR Index
XS1686423853
Up to 200,000 CZK "Phoenix Snowball Worst-of" Quanto Certificates relating to 4 Shares due 9 March 2
XS1700147660
50,000 CZK "Call" Quanto Certificates relating to SGESGSEP Index
XS1707237241
Up to 200,000 CZK "Capuccino" Certificates relating to 5 Shares due 14 May 2020
Up to 200,000 CZK "Autocallable Reverse Convertible Worst-of" Certificates relating to 4 Shares
XS1757258493
?Athena Worst-of" Quanto Certificates relating to a basket of 4 Shares due 27 August 2021
XS1810437688
2Y Certificate linked to Worst-of Basket due 15 September 2020
XS1793697969
2Y Certificate linked to Worst-of Basket due 5 October 2020
XS1816878190
2Y Phoenix Snowball Worst-of Quanto Certificates relating to basket of 4 Stocks” due 16 November 20
XS1831493348
2Y Certificate linked to Worst-of Basket of 4 stocks due 7 December 2020
XS1859389485
2Y Ladder Certificates relating to 4 Shares due 28 December 2020
XS1867923192
"2Y Phoenix Snowball Worst-of on Basket of 4 Stocks" due 8 February 2021
XS1885330198
"Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 6 April 2021
XS1914694705
"3Y Autocallable Booster" Certificates relating to Index due 6 July 2022
XS1960414867
"2 Phoenix Worst-of" Certificates relating to 4 shares due 6 July 2021
XS1960414784
"4Y Athena" Quanto Certificates relating to Brent Crude Oil due 17 July 2023
XS1879271705
"2Y Phoenix Worst-of" Certificates relating to 4 shares due 7 October 2021
XS1997310419
"Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 8 October 2021
XS2007913044
Up to 37 500 CZK "Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 9 November 2021
XS2019066526
Up to 100 000 CZK "Talisman" Certificates relating to 20 Shares due 23 November 2022
XS2020243866
Up to 75 000 CZK "Talisman" Certificates relating to 20 Shares due 9 January 2023
XS2033224028
Up to 75 000 CZK "Talisman" Certificates relating to 19 Shares due 7 March 2023
XS2049220044
Up to 10 000 CZK "Autocall with Maturity Extension" Certificates relating to 4 Shares due 7 February
XS2049220630
FICRT 6087 DB XS2107381852 Up to CZK 1,000,000,000 Currency Linked Certificates due February 2023
XS2107381852
"Talisman" Certificates relating to 15 Shares due 30 May 2023
XS2101165830
Autocall with Maturity Extension" Certificates relating to 4 Shares due 6 June 2023
XS2101189939
Talisman" Certificates relating to 17 Shares due 12 July 2023
XS2113471986
"Talisman" Certificates relating to 18 Shares due 6 September 2023
XS2141467543
"Dispersion" Certificates relating to 10 Shares due 4 September 2025
XS2144386070
Phoenix Worst-of" Certificates relating to 4 Shares due 8 August 2022
XS2141458476
Up to 100,000 CZK "Phoenix Snowball WO" Certificates relating to 4 Shares due 16 October 2023
XS1604574902
Phoenix Snowball WO" Certificates relating to 4 Shares due 13 November 2023
XS2175258537
"Talisman" Certificates relating to 20 Shares due 5 January 2024
XS2191299713
" 3Y BNPP EASY TRANSITION PLUS" Certificates relating to Solactive Home Staying Technologies 2020
XS2222061462
"Phoenix Snowball Quanto" Certificates relating to Solactive Home Staying Technologies 2020 AR 5%
XS2221225209
"Phoenix Worst-of Quanto" Certificates relating to 4 Shares due 28 May 2024
XS2266406144
"Capped Twin Win" Certificates relating to Airbnb Inc Share due 20 May 2022
XS2268679458
"PDCP ENERGY TRANSITION AUTOCALL" Certificates relating to Solactive Energy Transition 2021 Index
XS2271459781
"Capped Twin Win" Certificates relating to Coinbase Global Inc Share due 12 December 2022
XS2272948923
"Phoenix Snowball WO" Certificates relating to 4 Shares due 26 August 2024
XS2288506756
Up to 100,000 CZK "Phoenix Snowball Worst-of" Certificates relating to 3 Indices due 09 September
S2293327164
"Phoenix Snowball Worst-of" Certificates relating to 3 Indices due 09 September 2024
XS2293327164
Up to 100,000 CZK "Phoenix Snowball WO" Certificates relating to 4 Shares due 8 October 2024
XS2286825943
"Reverse Convertible" Certificates relating to Plug Power Inc Shares due 8 August 2022
XS2293351974
Duo Mix Phoenix Snowball with Star Effect Worst-of" Certificates relating to 4 Shares due 22 October
XS2300877763
Phoenix Snowball Worst-of Quanto" Certificates relating to 4 Shares due 26 November 2024
XS2304434678
Up to 100,000 CZK "Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 27 February 2025
XS2338196038
"Duo Mix Express" Certificates relating to Tesla due 6 March 2024 Start date: 13 January 2022
XS2337877794
"Phoenix Snowball Worst-of" Certificates relating to 4 Shares due 7 April 2025
XS2052362444
lockin_certificate_new
XS2354884855
"3Y Ladder Up & Secure Quanto" Certificates relating to MSCI World IMI Select Trend Accelerators
XS2358500796
"Duo Mix Phoenix Snowball with Star Effect Worst-of"Certificates relating to 3 Shares due 25 June 25
XS2372835970
3Y Athena Worst-of on US_MS, US_BAC, US_JPM in CZK Quanto
XS2379384964
"Phoenix" Certificates relating to BNP Paribas World Climate Care RC8 AR Index Index due 8 July 2025
XS2367925281
3Y Double Digital linked to BNP Paribas Multi Asset Diversified 5 Index in CZK Quanto
XS2392613704
3Y Athena on WTI Crude Oil in CZK Quanto
XS2396248044
3Y Certificate linked to BNP Paribas Multi Asset Diversified 5 Index in CZK Quanto
XS2406081203
DIGITAL
XS2428625383
3Y Profiler Certificates relating to 3 Indices due 3 March 2026
3Y Profiler
XS2464633523
3Y Profiler on BNPITEC5, BNPIWCC5, MXWDH5XE in CZK
XS2484644377
2Y Autocallable Reverse Convertible Worst-of on US_NFLX, US_TSN, FR_SAN, US_AMD in CZK Quanto
XS2509399650
3Y Easy Transition on BNPITEC5
XS2523676240
3Y Athena on WTI Crude Oil in CZK Quanto
XS2642187996
3Y Fast Trigger Worst-of on US_TXN, US_TGT, FR_STLAP, US_KO in CZK Quanto
XS2677120698
3Y Autocallable Reverse Convertible on EU_SX7E in CZK Quanto
XS2705283096
3Y Athena Worst-of on DE_SIE, AT_ANDR, JP_6367 in CZK Quanto
XS2719874476
3Y Phoenix Snowball Worst-of on FR_RMS, DE_P911, FR_MC, US_EL in CZK Quanto
XS2732686931
2Y Phoenix Snowball Worst-of on US_PANW, DE_RHM, US_ADBE, FR_HO in CZK Quanto
XS2741433630
3Y Easy Transition on BNPIMAD5
XS2749347279
3Y Easy Transition on AIDM5E
XS2749346974
3Y Autocallable Reverse Convertible on WTI in CZK Quanto
XS2792966991
3Y Autocallable Reverse Convertible Worst-of on DE_ALV, FR_CS, GB_AV in CZK Quanto
XS2863768276
3Y TwinWin on OIL in CZK
XS2869882378
Autocallable Reverse Convertible Worst-of
XS2888624199
1Y+1Y Maturity Extension TwinWin with DIP on ASML Holding NV in CZK Quanto
XS2924686285
3Y TwinWin on WTI Crude Oil in CZK Quanto
XS2931445592
Issue of up to EUR 10,000,000 Underlying Interest Rate Linked Interest Securities due 5 March 2035
XS2942713764
Issue of up to USD 10,000,000 Underlying Interest Rate Linked Interest Securities due 18 March 2030
XS2952085202
Denmark
Name
ISIN
3Y Athena on DK_NOVOB in DKK
XS2320997047
3Y Athena on Novo Nordisk AS in DKK
XS2414026901
3Y Athena on Novo Nordisk AS in DKK
XS2414018395
CHF Credit Linked Certificates referencing HOLCIM AG due January 2026
XS2291630601
3Y Athena on Novo Nordisk AS in DKK
XS2484914697
3Y Athena on Volkswagen AG in EUR
XS2509366139
3Y Call Certificate linked to Basket on 9 Shares in EUR Quanto
XS2664548307
3Y Athena on DK_NOVOB in DKK
XS2749358474
3Y Call Certificate linked to Bloomberg Transatlantic Titans 40 Price Return Index (EUR) in EUR
XS2759119923
3Y Athena on GB_RR in EUR Quanto
XS2931434398
Finland
Name
ISIN
Up to 50,000 EUR "Athena Worst-of Quanto" Certificates relating to 5 Indices due 5 February 2019
FI4000072921
Up to 20,000 EUR "Athena Worst-of Quanto" Certificates relating to 5 Indices due 11 March 2019
FI4000076666
50,000 EUR "Phoenix Worst-of Quanto" Certificates relating to 5 Indices due 5 February 2019
FI4000072913
Up to 50,000 EUR Certificates relating to BNP Paribas Flexible Fund Stars Index (EUR) due 5 February
FI4000072939
Up to 20,000 EUR "Athena Worst-of Quanto" Certificates relating to 5 Indices
FI4000081286
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to 5 Indices
FI4000081260
Up to 20,000 EUR "Twin Win" Certificates relating to Russian Depositary Index (EUR)
FI4000081252
Up to 20,000 EUR "Lock In" Certificates relating to EURO STOXX 50® Index
FI4000081278
Up to 20,000 EUR "Asian Call Quanto" Certificates relating to a Basket of 10 Shares due 11 March 201
20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to 5 Indices due 11 March 2019
FI4000076633
20,000 EUR "Leveraged Certificates Plus Quanto" Certificates relating to a Basket of 10 Shares due 1
FI4000076641
20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 11 March 2019
FI4000076658
Up to 20,000 EUR "Asian Call Quanto" Certificates relating to a Basket of 10 Shares due 30 May 2019
FI4000087978
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 30 May 2019
FI4000087986
Up to 20,000 EUR "Twin Win" Certificates relating to Eurostoxx 50 Index (EUR) due 30 May 2019
FI4000087937
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to 5 Indices due 30 May 2019
FI4000087945
Up to 20,000 EUR "Lock In" Certificates relating to EURO STOXX 50® Index due 4 June 2019
FI4000087960
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 5 Indices due 30 May
FI4000087952
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 23 April 2019
FI4000081294
Up to 20,000 EUR "Asian Call Quanto" Certificates relating to a Basket of 10 Shares due 23 April 201
FI4000081310
Up to 20,000 EUR "Asian Call Quanto" Certificates relating to a Basket of 10 Shares due 17 July 2019
FI4000094677
Up to 20,000 EUR "Lock In" Certificates relating to 10 Shares due 17 July 2019
FI4000094719
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to 5 Indices due 17 July 2019
FI4000094693
Up to 20,000 EUR "Phoenix WO Quanto" Certificates relating to a Basket of 5 Indices due 17/07/19
FI4000094685
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 17 July 2019
FI4000094701
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 5 Indices due 19 Sep
FI4000099346
SHRTNASDQ F RBS
GB00BDLRTZ84
Up to 20,000 EUR "Leverage Plus" Certificates relating to HEX25 Index due 5 November 2019
FI4000106075
Up to 20,000 EUR "Bonus Plus" Certificates relating to HEX25 Index due 5 November 2019
FI4000106059
Up to 20,000 EUR "Asian Call Quanto" Certificates relating to a Basket of 10 Shares
FI4000106042
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 4 Indices and 1 ETI
FI4000106091
Up to 20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 4 Indices and 1 ETI
FI4000106083
Up to 20,000 EUR ?Leveraged Certificates Plus? Quanto relating to 10 Shares
FI4000099338
20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 4 Indices and 1 ETI due 19
20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 4 Indices and 1 ETI due 19 December 2019
20,000 EUR "Phoenix Worst-of Quanto" Certificates relating to a Basket of 4 Indices and 1 ETI due 19
FI4000113006
Up to 20,000 Levraged Certificate Plus 10 Energy Shares
FI4000115555
Up to 20,000 Phoenix COMBO WO Quanto Indices basket & Ishares
FI4000115548
Up to 100 Phoenix WO Quanto Indices Basket & Ishares
Up to 20,000 Certificates on BNPP Newcits Fund Stars Series2 Index
20,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR) due 30 Ja
FI4000115589
Up to 2,000 EUR "Leverage Plus" Certificates relating to HEX25 ® Index due 30 January 2020
FI4000115571
Up to 300 EUR "Autocall 365 Quanto" Certificates relating to a Basket of 4 Indices
FI4000115563
Leverage Plus Quanto
FI4000111901
Leverage Quanto
Phoenix Worst-of Quanto
Certificates relating to BNP Paribas Fd Newcits Fund Stars
Leverage Certificate Plus Certificates relating to EURO STOXX
Bond Plus Call Certificate BNPIN2FT Index CE3032GOD
FI4000148150
Up to 2,000 EUR "Athena Worst-of" Certificates relating to a Basket of 5 Shares due 4 May 2022
FI4000148135
Up to 2,000 EUR "Leverage Plus Quanto" Certificates relating to 10 Shares and EURO STOXX 50® Index
fi4000148168
Up to 5,000 Bond Plus Call Certificate BNPIN2FT (CE3037GOD)
FI4000153226
Up to 5,000 EUR "Leverage Plus Quanto" Certificates relating to 10 Shares and EURO STOXX 50® Index
Leveraged Certificate Plus Quanto 10 Energy Shares (CE3044GOD)
FI4000153952
Bond Plus Certificate BNPIN2FT Index (CE3042GOD)
FI4000153853
Leverage plus Quanto
Leverage Plus Quanto
Certificate Index
Leverage Certi Plus
FI4000157748
Up to 5,000 EUR "Phoenix Combo Worst-of" Certificates relating to a Basket of 5 Indices due 30 Octob
FI4000167150
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 30 October 202
FI4000167135
Up to 50,000 EUR Certificates relating to BNP Paribas Flexible Fund Stars Index (EUR)
FI4000167143
Certificates relating to BNP Paribas Flexible Fund Stars Index
Up to 50,000 EUR "Phoenix Combo Worst-of" Certificates relating to a Basket of 5 Indices (CE0008PAP)
FI4000170857
Up to 50,000 EUR Certificates relating to BNP Paribas Flexible Fund Stars Index (EUR)
FI4000170923
Up to 5,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000170949
Leveraged Certificate plus SXEP (CE0007PAP)
FI4000170865
Up to 20,000 EUR ?Bond + European Call? Certificates relating to 10 Shares due 30 october 2020
FI4000167218
20,000 EUR ?Call? Certificates relating to iSTOXX Europe Next Dividend Low Risk Index (EUR) due 11 M
20,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000188792
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares due 11 March 2021
FI4000188818
20,000 EUR ?Call? Certificates relating to iSTOXX Europe Next Dividend Low Risk Index (EUR) due 28 J
20,000 EUR "Call" Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000197538
20,000 EUR ?Call? Certificates relating to iSTOXX Europe Next Dividend Low Risk Index (EUR)
FI4000197546
20,000 EUR "Athena" Certificates relating to STOXX® 600 Oil & Gas Index due 22 April 2021
FI4000197553
20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares (CE0078PAP)
FI4000197561
20,000 EUR "Athena" Certificates relating to STOXX® 600 Oil & Gas Index due 11 March 2021
FI4000188842
Leveraged Certificate Plus" Certificates relating to STOXX® Europe 600 Oil & Gas (CE0035PAP)
FI4000180336
Up to 20,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000201231
Up to 20,000 EUR "Athena" Certificates relating to EURO STOXX® Banks Index due 21 July 2021
FI4000206883
Up to 20,000 EUR "Leveraged Certificates Plus" Certificates relating to 10 Shares and 1 Index
FI4000206909
Up to 20,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000206891
Up to 20,000 EUR "Leveraged Certificate Plus" Certificates relating to 10 Shares (CE0098PAP)
FI4000201215
Up to 20,000 EUR ?Call? Certificates relating to iSTOXX Europe Next Dividend Low Risk Index (EUR) du
FI4000201249
Up to 20,000 EUR Certificates relating to BNP Paribas Fd Newcits Fund Stars Series 2 Index (EUR)
FI4000210695
Up to 10,000 EUR " Call " Certificates relating to Solactive Oekom Ethical Low Volatility Index
FI4000219274
Up to 10,000 EUR "Athena" Certificates relating to EURO STOXX® Banks Index due 4 November 2019
FI4000219258
Up to 50,000 EUR " Athena " Certificates relating to 5 Shares due 28 October 2021
FI4000219654
Up to 10,000 EUR " Call " Certificates relating to Solactive Oekom Ethical Low Volatility Index
FI4000220413
Up to 50,000 EUR "Athena Semi-Airbag" Certificates relating to 2 Shares due due 29 November 2022
FI4000220496
Up to 20,000 EUR "Athena" Certificates relating to EURO STOXX® Banks Index due 15 December 2021
FI4000220421
Up to 10,000 EUR " Call " Certificates relating to SOLACTIVE Index due 2 February 2022
FI4000224241
Up 10,000 EUR "Athena" Certificates relating to 5 Shares due 2 February 2022
FI4000224258
Up to 15,000 EUR ?Athena Worst-of? Certificates relating to 2 Shares
FI4000232749
Up to 50,000 EUR "Athena Semi-Airbag Worst of " Certificates relating to 2 Shares due 1 March 2023
FI4000233184
Up to 15,000 EUR ?Athena Worst-of? Certificates relating to 2 Shares due 29 March 2023
FI4000237649
Up to 10,000 EUR " Call " Certificates relating to BNP Paribas Fd-Real Estate Funds Index due 27 Apr
FI4000237813
Up to 20,000 EUR ?Athena Worst-of? Certificates relating to 2 Shares due 2 May 2023
FI4000243258
Up to 10,000 EUR " Call " Certificates relating to Solactive Oekom Ethical Low Volatility Index
FI4000233192
Lock In Certificates relating to 10 Shares due 20 July 2022 (CE2398BAR)
FI4000260815
Up to 50,000 EUR "Autocall" Certificates relating to 2 Indices due 19 July 2022
FI4000260971
Call Certificates relating to BNP Paribas Fd-Real Estate Funds Index (CE2346BAR)
FI4000251780
171026_CE2570BAR_PP_FTs_Athena_5_Shares
FI4000270392
Up to 10,000 EUR "Call" Certificates relating to a Basket of Shares due 26 October 2022
FI4000270400
Up to 5,000 EUR "Athena" Certificates relating to Euronext France Germany Leaders 50 EW Decrement 5%
FI4000282645
Up to 5,000 EUR " Call " Certificates relating to European Climate Change ESG Index
FI4000282637
Up to 5,000 EUR "Athena" Certificates relating to Euronext France Germany
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe-CE1587JON JLB
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Centenary Select 30 Index due 30 May
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Centenary Select 30 Index due 10 Sep
FI4000330857
PO Finland / Capped Leveraged Certificate Plus on Single Share / CE3067BAR
FI4000343488
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index
FI4000340450
181026 CE3065BAR Athena Index
FI4000340468
CE3141BAR Athena Index
FI4000349246
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index
FI4000349287
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index
FI4000354196
Up to 5,000 EUR "Athena" Certificates relating to 5 Shares due 17 January 2025
FI4000354204
Up to 5,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index
FI4000359666
Up to 5,000 EUR "Athena" Certificates relating to 5 Shares due 3 March 2025
FI4000359658
Up to 5,000 EUR "Athena" Certificates relating to S&P Euro 50 Equal Weight Synthetic 5% Price Index
FI4000369475
Up to 5,000 EUR "Athena" Certificates relating to 5 Shares due 24 April 2025
FI4000369483
Up to 5,000 EUR "Athena" Certificates relating to S&P Euro 50 Equal Weight Synthetic 5% Price Index
FI4000384177
Up to 5,000 EUR "Athena" Certificates relating to 5 Shares due 7 July 2025
FI4000384151
6,000 EUR "Athena Airbag" Certificates relating to 5 Shares due 28 July 2025
Up to 5,000 EUR "Athena" Certificates relating to S&P Euro 50 Equal Weight Synthetic 5% Price Index
FI4000387741
Up to 5,000 EUR "Athena" Certificates relating to 5 Shares due 16 September 2025
FI4000390828
p to 10,000 EUR "Athena Airbag" Certificates relating to 5 Shares due 25 September 2025
FI4000391248
Up to 5,000 EUR "Athena" Certificates relating to S&P Euro 50 Equal Weight Synthetic 5% Price Index
FI4000391271
Up to 6,000 EUR "Phoenix Snowball" Certificates relating to 5 Shares due 28 October 2025
FI4000396627
Up to EUR 5,000,000 Credit-Linked Certificates with principal and interest at risk on 10.66666667-22
FI4000400031
Up to 5,000 EUR "Phoenix Snowball" Certificates relating to 5 Shares due 29 December 2025
FI4000410444
Up to 6,000 EUR "Athena Semi-Airbag" Certificates relating to 5 Shares due 29 December 2025
FI4000410592
Up to 3,000 EUR "Athena" Certificates relating to S&P Euro 50 Equal Weight Synthetic 5% Price Index
FI4000410600
Up to 1,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index due 23
FI4000411293
Up to 1,000 EUR "Athena" Certificates relating to iSTOXX Europe Next Dividend Low Risk Index due 23
FI4000411269
Athena on STOXX® 600 Oil & Gas Index
FI4000415567
200515_CE1370GEO_PO Finland_Athena_Index
FI4000426002
Up to EUR 7,000,000 Credit Linked Certificates (iTraxx Europe Crossover Series 33)
FI4000429147
Athena Certificates relating to Solactive Eurozone TOP CEO Index
FI4000429253
Athena on SPEU50ES Index due 27 July 2026
FI4000440102
200727_CE1767GEO_PO Finland_Athena_Index
FI4000440110
Athena Certificates relating to Solactive Europe & US TOP Pharmaceuticals
FI4000429261
200714 CE1852GEO PO Finland OMX Helsinki Phoenix Snowball WO_Basket Shares
FI4000440342
200714 CE1878GEO PO Finland OMX Helsinki Leveraged Certificate Plus
FI4000440375
Phoenix Snowball WO on Share Basket due 1 September 2026
FI4000440789
200914 CE2097GEO PO Finland Omx Leveraged Certif Plus
FI4000441605
Up to 6,000 EUR "Capped Leveraged Certificate Plus" Certificates linked to SOPH2020 Index due 13 Oct
FI4000441795
Up to 2,000 EUR "Athena" Certificates ? CE2118GEO
FI4000441803
Up to 2,000 EUR "Athena" Certificates ? CE2119GEO
FI4000441811
Up to 10,000 EUR "Capped Leveraged Certificate Plus" Certificates ? CE2156GEO
FI4000441886
Up to 2,000 EUR "Athena" Certificates relating to an Index due 17 December 2026
FI4000442314
Up to 2,000 EUR "Athena" Certificates relating to Index due 4 February 2027
FI4000456199
Up to 5,000 EUR "Athena Airbag Worst-of" Certificates linked to a Basket of Shares
FI4000466438
Up to 6,000 EUR "Athena Airbag Worst-of" Certificates linked to a Basket of Shares
FI4000466602
Up to 10,000 EUR "Capped Leveraged Certificate Plus" Certificates linked to Euronext Eurozone 150
FI4000466578
Up to 10,000 EUR "Athena Airbag" Certificates relating to Solactive Home Staying Technologies 2020
FI4000466701
Up to 10,000 EUR "Capped Leveraged Certificate Plus" Certificates linked to EZ150ED Index
FI4000480041
Up to 10,000 EUR "Athena Airbag" Certificates relating to Solactive Home Staying Technologies 2020
FI4000480058
Up to 10,000 EUR "Athena Airbag" Certificates relating to Solactive Home Staying Technologies 2020
FI4000480405
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020
FI4000476957
Up to 10,000 EUR "Athena Airbag" Certificates relating to Solactive Europe & US Top Pharmaceuticals
FI4000480439
Up to 6,000 EUR "5Y Capped Leveraged Certificate Plus" Certificates linked to ECC5D Index
FI4000480082
Up to 2,000 EUR "Athena" Certificates linked to SOHOME20 Index due 18 March 2026
FI4000476940
Up to 2,000 EUR "Athena" Certificates linked to SOCEO Index due 30 April 2027
FI4000480520
Up to 10,000 EUR "Capped Leveraged Certificate Plus" Certificates linked to EZ150ED Index
FI4000480447
Up to 5,000 EUR "Athena" Certificates relating to SONRGY21 Index due 7 May 2027
FI4000491063
Up to 10,000 EUR "Capped Leveraged Certificate Plus" Certificates linked to Solactive Europe & US
FI4000490891
Up to 10,000 EUR "Athena" Certificates relating to Solactive Gold Miners Decrement 4% Index (NTR)
FI4000490628
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020
FI4000480538
Up to 20,000 EUR "Capped Leveraged Certificate Plus" Certificates relating to the Solactive Gold
FI4000496690
Up to 2,000 EUR "Athena" Certificates relating to Solactive Tourism 2021 AR 5% Index
FI4000496567
Up to 5,000 EUR "Athena" Certificates relating to Solactive Tourism 2021 AR 5% Index due 2 July 2027
FI4000507173
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000507298
Up to 10,000 EUR "5Y 16W Capped Leveraged Certificate Plus" Certificates linked to Solactive Europe
FI4000507587
Up to 2,000 EUR "Athena" Certificates relating to Solactive Tourism 2021 AR 5% Index due 14 July2027
FI4000507306
Up to 20,000 EUR "Athena Airbag" Certificates relating to Solactive Europe & US Top Pharmaceuticals
FI4000507009
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000496559
Up to 10,000 EUR "Athena" Certificates relating to Solactive Gold Miners Decrement 4% Index (NTR)
FI4000507637
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000507751
Up to 2,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000508288
Up to 2,000 EUR "Athena" Certificates relating to Solactive Home Staying Technologies 2020 AR 5%
FI4000507769
Up to 3,000 EUR "Phoenix Snowball" Certificates relating to Solactive EEM Decrement 5% Index (NTR)
XS2303175264
Up to 3,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000512108
Up to 3,000 EUR "Athena" Certificates relating to Solactive EEM Decrement 5% Index due 5 Jan
FI4000513098
Up to 3,000 EUR "Athena" Certificates relating to Solactive Tourism 2021 AR 5% Index due 26 November
FI4000512090
Up to 10,000 EUR "Athena Airbag" Certificates relating to Solactive Europe & US Top Pharmaceuticals
FI4000513643
4Y Athena Worst-of on DE_BMW, DE_DAI in EUR
FI4000512546
6Y Athena on EU_SOHOME20 in EUR
FI4000508304
AutocallAdvanced641
FI4000513965
6Y Athena on Solactive Gold Miners Decrement 4% EUR Index (NTR) in EUR
FI4000518436
5Y 4M Capped Leveraged Certificate Plus on Euronext Eurozone 150 Decrement 5% in EUR
FI4000519137
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000522370
Up to 3,000 EUR "Athena" Certificates relating to Solactive Europe & US Top Pharmaceuticals 2020 AR
FI4000522388
5Y 3M Capped Leveraged Certificate Plus on EUR, EU_SOTF2020 in EUR
FI4000517792
Up to EUR3,000,000Credit Linked Certificates with principal and interest at risk on a 3.20% to 7.20%
FI4000523071
5Y Athena on FI_OMXH25 in EUR
FI4000523030
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000522990
6Y Athena on Solactive Europe & US Top Pharmaceuticals 2020 AR 5% Index in EUR
FI4000523006
6Y Athena on Solactive Europe & US Top Pharmaceuticals 2020 AR 5% Index in EUR
FI4000523840
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 16% to 100%
FI4000527262
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000527403
6Y Athena on Bloomberg Cybersecurity 2022 Decrement 5% Index EUR in EUR
FI4000527411
Up to EUR 3,000,000 Credit Linked Certificates with principal and interest at risk on a 24% to 48%
FI4000527577
Up to EUR 2,000,000 Credit Linked Certificates with principal and interest at risk on a 24% to 48% t
5Y Athena on Nordea Bank Abp, Skandinaviska Enskilda Banken AB, Svenska Handelsbanken AB and Swedban
FI4000532429
up to EUR 8,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 100%
FI4000532593
up to EUR 8,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 50%
FI4000532619
Up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 25% to 50%
FI4000532783
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 100%
FI4000536123
up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 50%
FI4000536131
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 25% to 50%
FI4000536149
6Y Athena on Bloomberg Cybersecurity 2022 Decrement 5% Index EUR in EUR
FI4000533088
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000533096
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 25% to 35%
FI4000541628
Up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 48%
FI4000541644
Up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 50%
FI4000541651
Issue of up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 20%
FI4000546197
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 32%
FI4000546189
Up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 15% to 35%
FI4000548938
6Y Athena Airbag on Solactive Europe & US Top Pharmaceuticals 2020 AR 5% Index in EUR
FI4000549241
6Y Athena Airbag on EU_SOMINERS in EUR
FI4000546247
5Y 6M Capped Leveraged Certificate Plus on FI_TYRES in EUR
FI4000546205
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000546460
6Y Athena Airbag on EU_SOMINERS in EUR
FI4000546866
up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 24% to 48%
FI4000549662
Issue up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 20%
FI4000549738
Issue up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 16%
FI4000549910
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000550199
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 24
FI4000550439
up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 50%
FI4000556014
: up to EUR 7,000,000 Credit Linked Certificates with principal and interest at risk on a 20% to 35%
FI4000552971
6Y Athena on Solactive Europe & US Top Pharmaceuticals 2020 AR 5% Index in EUR
FI4000556410
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000556477
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk
FI4000556907
6Y Athena on Solactive Tourism 2021 AR 5% Index in EUR
FI4000557376
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000557384
up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 15% to 35%
FI4000557590
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk
XS2584319870
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000560859
6Y Athena on Bloomberg Cybersecurity 2022 Decrement 5% Index EUR in EUR
FI4000560834
Issue of up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 24%
XS2615031585
6Y Phoenix Snowball Worst-of on Bayer AG and Pfizer Inc in EUR Quanto
XS2630615198
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk
FI4000561386
6Y Athena on Solactive Semiconductor Equipment 2021 AR 5% Index in EUR
FI4000561725
6Y Athena on Solactive Energy Transition 2021 Index AR 5% in EUR
FI4000561717
EUR Credit Linked Certificates on a tranche of the CDX.NA.HY.41 due January 2029
XS2638625207
EUR Credit Linked Certificates on a tranche of the iTraxx® Europe Crossover Series 40 Version 1 due
XS2642230838
Credit Linked Certificates with principal and interest at risk on iTraxx® Europe Crossover Series 40
FI4000561956
Credit Linked Certificates with principal and interest at risk on a 16% to 100% tranche of the iTrax
FI4000561733
Issue of up to EUR 8,000,000 Credit Linked Certificates with principal and interest at risk on a 16%
XS2647408512
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 16
FI4000562442
6Y Athena on Solactive Semiconductor Equipment 2021 AR 5% Index in EUR
FI4000565452
6Y Athena on Bloomberg Cybersecurity 2022 Decrement 5% Index EUR in EUR
FI4000565460
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk
FI4000566187
6Y Athena on EU_SOCOND21 in EUR
FI4000566344
6Y Athena on EU_CYBERP22, EUR in EUR
FI4000566310
Callable Euribor Mars 2029
XS2703281720
6Y Athena on EU_SOTRAMET in EUR
FI4000566773
6Y Athena on EU_SOCOND21 in EUR
FI4000566765
5Y Athena on EUR, EU_PABEZ5E in EUR
FI4000566484
EUR Certificates on a tranche of the iTraxx® Europe Crossover Series 41 Version 1 due July 2029
XS2741497528
Issue of EUR Credit Linked Certificates due July 2027
CE2921CBX
6Y Athena on EU_SOTRAMET in EUR
FI4000570577
6Y Athena Airbag on EU_SOTRAMET in EUR
XS2740831230
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 12
FI4000570916
EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 12% to 36% tranche
XS2759145928
6Y Athena Airbag on EU_SOTRAMET in EUR
XS2759155059
Issue of up to 10,000 Credit Certificates with principal and interest at risk on a 15% to 50% tranch
XS2759182020
6Y Athena on EU_SOTRAMET in EUR
FI4000571245
6Y Athena on EU_SOSCTAR5 in EUR
FI4000571252
6Y Athena Airbag on EU_SOTRAMET in EUR
XS2773900431
EUR tranche of the iTraxx® Europe Crossover Series 41 Version 1 due 04 July 2029
XS2773900357
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 1
FI4000571724
Issue of up to EUR 10,000,000 Credit Linked Certificates with principal and interest at risk on a 15
XS2784221512
6Y Athena on EU_SOTRAMET in EUR
FI4000577101
6Y Athena on EU_SOSCTAR5 in EUR
FI4000577119
Issue of up to EUR 5,000,000 Credit Linked Certificates with principal and interest at risk on a 15%
XS2821133761
6Y Athena on EU_SOSCTAR5 in EUR
FI4000577978
5Y 6M Digital Bonus on EU_SOPH2020 in EUR
XS2873910728
Up to USD 20,000,000 6Y Certificate on BNP Paribas Mutual Fund Strategy US HY Index due 16 January 2
XS2863763988
6Y Call Certificate linked to Basket on CH_NOVN, DE_SHL, DE_SAP, GB_LSEG, SE_HEXAB, US_JPM, US_V, FR
SE0022420444
5Y Call Certificate linked to Basket on FI_KNEBV, CH_NOVN, CH_NESN, FR_CS, NL_INGA, FR_BNP, FR_SAN,
SE0022419867
5.5Y Digital Booster on SOPH2020 in EUR
XS2857446012
6Y Athena on EU_SOSCTAR5 in EUR
FI4000581459
6Y Athena on EU_SOTRAMET in EUR
FI4000577986
Up to 3,000 EUR "6Y Athena" Certificates relating to Solactive Europe & US Semi Conductors AR 5% Ind
FI4000582267
Up to 3,000 EUR "6Y Athena" Certificates relating to Bloomberg Cybersecurity 2022 Decrement 5% Index
FI4000582283
6Y Athena on EU_SOTRAMET in EUR
FI4000581467
5Y Leveraged Certificate Plus on OMXH25 in EUR
FI4000582663
6Y Athena on EUR, EU_CYBERP22 in EUR
FI4000582796
6Y Athena on EU_SOSCTAR5 in EUR
FI4000582804
CE13992SCE - XS2927923792 - 5.5y Booster on EDMSC50E in NOK settled in EUR
XS2927923792
20241230 - CE13987SCE - XS2908235521- 5.5Y Digital Booster onSOPH2020 in USD settled in EUR
XS2908235521
5.5 Digital Booster on SOPH20200 in USD settled in EUR
XS2940985265
5Y 6M Double Note on EU_EDMSC50E, NOK in NOK Quanto
XS2942761656
5Y Leveraged Certificate Plus on EUR, EU_PHARM22E in EUR
FI4000586532
Up to 10,000 EUR "5.5Y Capped Booster" Certificates relating to the Solactive Transition Metals
XS2966709102
Up to 10,000 EUR "5.5Y Booster" Certificates relating to Bloomberg Europe Developed Markets Small
XS2966707585
Up to 10,000 EUR ?5.5Y Digital Booster? Certificates relating to Solactive Europe
XS2975829925
France
Name
ISIN
Millenium Index
XS0304284713
"Callable Certi Plus" Certificates relating to Dow Jones EuroStoxx50® Index due 27 October 2014
XS0441616561
DJ Euro Stoxx 50 Index Certificate
FR0010811554
S&P BRIC 40 EUR Price Return Certificate
FR0010804682
25,000 Athena 4.5% Certificates in EUR relating to Dow Jones EuroStoxx 50 Index due 14 January 2013
xs0462561159
600,000 Europae 10% Certificates in EUR relating to Dow Jones EuroStoxx 50 Index due 26 March 2013
500,000 "Europae III" Certificates in EUR relating to the EuroStoxx 50 Index due 15 October 2014
XS0518100663
Cap Janvier 2019
50,000 EUR "Perpetual Altimax 90" Certificates relating to a Dynamic Basket with a variable exposure to the Euro Stoxx 50 Index
XS0553387100
100,000 EUR Quanto “BNP Paribas Europe Export Protection 90 2016” Certificates relating to 3 Shares due 3 February 2016
XS0526861058
Porphyre Avril 2011
XS0558917299
Issue of EUR 5,000,000 Autocallable Floating Rate Interest with Index Linked Redemption Notes due 23 September 2013
XS0543350085
Rendement Rallye
XS0578046616
Cap Juillet 2019
Europae 8.88%
150,000 up to 500,000 EUR "Athena Airbag" Certificates relating to the EuroStoxx50® Index due 31 December 2015
XS0626708860
800,000 EUR “Europae V” Certificates relating to the Euro Stoxx50® Index due 4 January 2016
XS0654378990
50,000 EUR "Athena Airbag" Certificates relating to the EuroStoxx50® Index due 26 February 2016
XS0683068091
30,000 EUR “DUOCALL JANUARY 2012” Certificates relating to the EURO STOXX 50® Index due 8 May 2017
FR0011163823
20,000 Secured Certificates linked to a Basket of Shares (Raymond James 2012 "Best Picks" Series 3) due 25 January 2013
XS0727656133
10,000 Secured Certificates linked to a Basket of Shares (Raymond James 2012 “Best Picks” Series 3) due 31 December 2012
XS0740832935
Placement Millesime Mars 2012
FR0011158856
150,000 EUR “BNP Paribas Duo Garantie 2020” Certificates relating to a basket of 8 Shares due 11 May 2020
XS0733092554
500,000 ?DASDAX? EUR Certificates relating to the DAX® Price EUR Index due 29 December 2014
40,000 EUR "Autocall" Certificates relating to the EURO STOXX 50® Index due 30 March 2021
FR0011336270
BNP Paribas Sélection Actions Protection 90 Février 2018
XS0774372402
Orient Express Autocall
XS0855360953
10,000 Certificates linked to a Basket of Shares (Raymond James 2013 ?Best Picks?)
XS0843595645
Athena Optim Airbag Mai 2017
XS0774278567
Coupon Veolia
XS0868860908
Athena Optim Airbag Avril 2021
XS0842625286
UFF CAC Sérenité Octobre 2021
FR0011348580
Exigence 2013
XS0896144499
HEDIOS PERFORMANCE 5
FR0011412576
Euro Exigence Juin 2013
XS0899330640
Euro Plus 2
XS0909836107
Cap Juillet 2021
FR0011408079
Aviva Zénith Sécurité 2
FR0011426519
Athena Optim Airbag Septembre 2021
XS0877061175
Pegase Septembre 2018
XS0877061688
H Performance 6
FR0011477090
Mahogany II
XS0887301272
Athena Airbag Novembre 2021
XS0925951021
Pegase Novembre 2018
XS0925950130
Primo Duo
FR0011541937
100,000 EUR "Omega Protection 90" Certificates relating to the EURO STOXX 50® Index
XS0925868639
EUR 120,000,000 Non Principal Protected Certificates relating to the EURO STOXX 50® Index
FR0011560325
1,000 EUR « Reverse Convertible » Certificates relating to the SX5E
FR0011577162
CAP JANVIER 2022
FR0011544428
30,000 EUR "Athena Airbag" Certificates relating to the shares of Bouygues SA
FR0011582154
500,000 EUR "EUROPAE 8" Certificates relating to the EURO STOXX 50® Index
XS0925854845
Pegase Février 2019
XS0925912478
Omega Protection 90 Septembre 2017
X0925913799
Memory Décembre 2013 EUR
XS1006589417
Memory Décembre 2013 USD
XS1006589508
Up to 20,000 USD Certificateslinked to the Raymond James 2014 ?Best Picks? Basket of Shares due 31 D
XS06962009196
50,000 EUR "Athena Up" Certificates relating to the EURO STOXX 50® Index due 28 March 2023
FR0011695113
15,000 EUR "Athena" Certificates relating to the EURO STOXX 50® Index due 9 April 2024
XS0962020912
Porphyre Janvier 2014
FR0011530146
AUTOSTOXX MAI 2014
XS1032454438
Topaze Mai 2013
FR0011432723
Topaze Avril 2012
XS0699700950
500,000 EUR "EuroFlex" Certificates relating to the EURO STOXX 50® Index due 11 July 2017
XS0993368033
Oxydis Août 2014
XS1043453106
Pégase Juin 2020
Omega Protection 90 Juillet 2018
200,000 EUR "Objectif Juillet 2014" Certificates relating to 2 Indices due 15 August 2024
Euro Plus 4
Veolia Conviction
Porphyre Juillet 2014
FR0011742592
500,000 EUR "EuroFlex" Certificates relating to EUROSTOXX SELECT DIV 30 Index due 14 November 2017
XS1029832380
Porphyre Janvier 2015
FR0012006740
Opportunité Zen Janvier 2015
FR0012019552
Topaze Janvier 2015
FR00120195586
75,000 EUR "Starlight December 2022" Certificates relating to EURO STOXX 50® Index
XS1061852981
100,000 EUR "Athena Semi Airbag December 2022" Certificates relating to EURO STOXX 50® Index
XS1061850936
Euro Plus 5
200,000 EUR "Objectif Octobre 2014" Certificates relating to 2 Indices due 4 November 2024 ISIN Code
XS1061079049
Objectif Decembre 2014
XS1061079122
60,000EUR "Aviva Max Europe" Certificates relating to the EURO STOXX 50® Index
Pégase Mai 2021
50,000 EUR "Eurostoxx50 EDS" Certificates relating to the EURO STOXX 50® Index due 15 March 2021
75,000 EUR "Starlight February 2023" Certificates relating to EURO STOXX 50® Index
XS1084183117
EUROPAE
XS1135276258
Total return Dynamic Certificate Basket of Stock (CE5267MI)
XS1143016043
Total rturn Dynamic Certificate Basket of Stock (CE5268MI)
XS1143016399
Certificat sur Raymond James 2015 "Best Picks" CE1501GAN
XS1113788860
Autocall ON EUROSTOXX SELECT DIVIDEND 30 Index
30,000 EUR "Athena" Certificates relating to iSTOXX Europe Select High Beta 50 EUR Index due 2 July
XS1167526547
10Y Athena on EURO STOXX 50 in EUR
FR0012366771
30,000 EUR "Autocall Juillet 2015" Certificates relating to EURO STOXX 50® Index due 21 July 2025
Athéna Semi Airbag Juin 2023
Europae Sphere (CE5229MI)
XS1167474482
30,000 EUR "Orange Conviction" Certificates relating to Orange SA Shares due 28 August 2025
FR0012768430
30000 EUR Coupon 8 Memory
XS1222247162
Opportunité Rendement 6
Athena May 2015
Privalto Mix Croissance 2
Trimestro
Athéna Octobre 2023
europe Rendement Nov 2015
Euro Plus Octobre 2015
XS1222837988
Europe Rendement 2
30,000 EUR "Athena Airbag" Certificates relating to iSTOXX Europe Centenary Select 30 Index due 12 J
30,000 EUR "Euro Sélection 30" Certificates relating to the EURO STOXX® SELECT DIVIDEND 30 Index
XS1222873785
30,000 EUR "Trimestro Europe 2015" Certificates relating to 2 Indices due 13 November 2023
XS1251298110
30,000 EUR "Frequence Rendement Novembre 2015" Certificates relating to the EURO STOXX® Index
XS1222875640
30,000 EUR "Privalto Protect Plus 2" Certificates relating to a basket of two Mutual Funds due 14 De
30,000 EUR "Millésime Fréquence 2015" Certificates relating to 2 Indices due 10 January 2024
Athena Classique Décembre 2023
XS1222874593
30,000 EUR "ASAC-FAPES Europe Centenary" Certificates relating to the iSTOXX® Europe Centenary Selec
XS1251259054
30,000 EUR "Rendement 12/15" Certificates relating to the iSTOXX® Europe Centenary Select 30 Index d
XS1292860910
75,000 EUR "Athena Mars 2024" Certificates relating to the EURO STOXX 50® Index due 4 March 2024
XS1251238728
8,000 EUR "Delta One" Certificates relating to a basket of 15 Shares due 27 January 2017
BNP Paribas Arbitrage Issuance B.V.
Euro Plus Mars 2016
30,000 EUR "Premium Bouygues 2016" Certificates relating to Bouygues SA Share due 12 February 2024
30,000 EUR "Euro Plus 2016" Certificates EURO STOXX® Select Dividend 30 Index (CE5465ELM)
FR0013117132
75,000 EUR "Athena Premium Mai 2024" Certificates relating to the EURO STOXX® Index due 6 May 2024
XS1293126881
50,000 EUR " Alpha Euro US Mai 2019" Certificates relating to Indices due 6 May 2019
XS1293126964
30,000 EUR "Autocallable" Certificates relating to the Eurostoxx Select Div 30® Index due 15 June 20
FR0013098621
Euro Rendement Mensuel
H Performance 10
Athena Quotidien Juillet 2024
30,000 EUR "H Absolu 2" Certificates relating to the MSCI Euro 50 Select 4.75% decrement® Index due
FR0013160124
Issue of EUR 30,000,000 Autocall Standard Securities Share Linked Notes due July 2026
XS1313813013
Issue of EUR 30,000,000 Autocall Standard Securities Notes due 12 August 2026
FR0013136314
Issue of EUR 30,000,000 Certi Plus: Generic Knock-in Securities Notes due 20 July 2026
FR0013140936
Issue of EUR 30,000,000 Autocall Standard Securities Notes due August 2022
XS1313831775
Issue of EUR 30,000,000 Autocall Standard Securities Notes due 14 July 2026
XS1313839752
Issue of EUR 30,000,000 Autocall Standard Securities Notes due 31 July 2023
XS1313834100
Issue of EUR 30,000,000 SPS Reverse Convertible Standard Securities Notes due 14 September 2026
FR0013173044
Issue of EUR 30,000,000 Autocall Standard Securities Worst-Of Notes due 29 June 2026
XS1313837970
EUR 5,000,000 + 3,000,000 Zero Recovery Fixed Rate Credit Linked Notes due July 2021
XS1186816143
"Omega 90 Euro Telecoms Septembre 2017" Certificates
XS1385744153
30,000 EUR "H Rendement 27" Certificates relating to
FR0013174745
EUR 4,000,000 Fixed Rate Credit Linked Notes referencing Rallye due March 2020
XS1186833403
EUR 2,000,000 Zero Recovery Fixed Rate Credit Linked Notes on a Linear Basket of 10 Reference Entiti
XS1186878846
30,000 EUR "H Performance 12" Certificates relating to the MSCI Euro 50 Select 4.75% decrement Index
FR0013188919
30,000 EUR "Memory Decembre 2016" Certificates relating to EURO STOXX 50® Index due 13 January 2027
XS1422238136
H Performance 11
Athéna Premium Décembre 2022
Athéna Quotidien Décembre 2022
H Performance 13
FR0013197449
Athéna Février 2025
Athena Fevrier 2019
BNPPAI EI915AX EUR30,000,000 Autocall Standard Securities relating to the EUROSTOXX 50 Index
XS14445142225
H Performance 14
EI4109NX Autocall Standard Securities EUROSTOXX 50 due 6 May 2025 - XS1443885006
XS1443885006
EI4115NX EUR50,000,000 Autocall Standard Securities EUROSTOXX due 24 February 2023
FR0013229440
EI271JES EUR30,000,000 Autocall Standard Securities EUROSTOXX 50 Index due 22 March 2027
FR0013228608
EI6760ELM EUR 30,000,000 'Alpha Fréquence 2017' Autocall Standard Securities Notes
FR0013231131
EI4114NX EUR80,000,000 Autocall Standard Securities Eurostoxx due 25.04.23
XS1444522244
EI935AX EUR30,000,000 Autocall Standard Securities Solactive France 40 Equal Weight 5%AR
XS1288736272
Athéna Quotidien Mai 2023 Certificates relating to the EURO STOXX 50® Index
XS1288799353
30,000 EUR "Athena Quotidien Air Liquide Mars 2022" Certificates on Shares due 31 March 2022
XS1288801274
Athena Quotidien LVMH Moet Hennessy Louis Vuitton SE Shares due 31 March 2022 (CE6722ELM)
XS1288800110
EI303AAA Autocall Standard Securities EUROSTOXX due 12 May 2027
XS1444529090
EI310AAA Autocall Standard Securities EUROSTOXX due 14 May 2025 XS1444528951
XS1444528951
EI316AAAMFM Rendement 06/17 SPS Reverse Convertible Standard Securities EUROSTOXX
XS1444508920
EI6807ELM Millesime Trimestriel due 14 April 2027
FR0013232337
BNPPAI EI275JES EUR30,000,000 Autocall Standard Securities EUROSTOXX50
XS1489603727
EI276JES EUR30,000,000 Autocall Standard Securities TOTAL SA
FR0013237914
EI321AAA EUR 30,000,000 Autocall Standard Securities EUROSTOXX XS1489603644
XS1489603644
BNPPAI EI325AAA - PO France Issue Date: Tuesday 28 February 2017 - XS1489617354
XS1489617354
BNPPAI EI4667QV
FR0013235462
H Rendement 31" Certificates relating to the MSCI® Euro 50 Select 4.75% decrement (CE6725ELM)
FR0013230489
EI4196OLA Autocall Standard Securities EUROSTOXX 50
XS1489615069
EI350AAA Autocall Standard Securities EUROSTOXX due 14 July 2027
FR0013240744
EI281JES Privalto Rendement Mai 2017
XS1279312919
EI355AAA
FR0013241981
EI592DSE
FR0013237906
BNPPAI FINTE 2523 SM EUR 5,000,000 Zero Recovery Fixed Rate Credit Linked Notes
XS1554315397
EI0006ROP EDS Notes
XS1447118313
30,000 EUR "Autocall 10 ans Avril 2017" Certificates relating to SX5E Index due 26 April 2027
FR0013239290
BNPPAI EI282JES
FR0013242484
EI357AAA
FR0013246097
BNPPAI EI285JES
FR0013247780
150,000 EUR "Athéna Quotidien Juillet 2023" Certificates relating to the EURO STOXX 50® Index
XS1489565538
Athena Mensuel Action Compagnie de Saint Gobain Juin 2022 (CE7036ELM)
XS1489568805
Athena Mensuel Action Orange Juin 2022 (CE7035ELM)
XS1489567740
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes (FINTE 2627 MP)
XS1554312535
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes (FINTE 2628 MP)
XS1554305166
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes (FINTE 2629 MP)
XS1554312378
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes (FINTE 2630 MP)
XS1554304433
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes
XS1554304946
EI295JES
XS1447134781
EI4243NX
FR0013249323
EI306JES
XS1512148518
BNPPAI EI283JES Final Terms and ISS
FR0013245743
BNPPAI EI309JES
FR0013259108
300,000 EUR "SELECT RENDEMENT MARS 2017 DUE 16 AUGUST 2027
FR0013240686
EI4296NX
FR0013259694
EI317JES
FR0013263159
Athéna Quotidien Septembre 2025
XS1549002258
BNP IBV EI412AAA
XS1549128434
BNP IBV EI320JES
FR0013265550
BNP IBV EI313JES
XS1549092226
BNP IBV EI318JES
FR0013266962
BNP IBV EI322JES
FR0013268976
EI2749OLA
BNP IBV EI400AAA
BNP IBV EI331JES
FR0013275716
BNP IBV EI335JES
XS1598590708
Athena Escalier Novembre 2022
XS1549026869
Athena Premium Trimestriel Action Total Octobre 2022
Athena Crescendo Novembre 2025
BNP IBV EI339JES
FR0013281268
BNP IBV EI435AAA
XS1616197445
BNP IBV EI0063ROP
XS1616176019
BNP IBV EI4335NX - FR0013281144
FR0013281144
EUR 10,000,000 Zero Recovery Fixed Rate Credit Linked Notes on a Linear Basket of 8 Referecne Entity
XS1554309150
BNP IBV EI349JES
XS1628331115
150,000 EUR "Athena Quotidien Décembre 2025" Certificates relating to EURO STOXX 50® Index
XS1616189772
EI438AAA
FR0013283587
EI355JES
XS1638603255
EI443AAA
XS1638604147
EI442AAA
XS1638603503
EI352JES
FR0013286119
EI0028ROP
XS1638603412
EI0027ROP
XS1638603339
Action Orange Conviction Décembre 2017
FR0013292232
Millésima Décembre 2017
EI485AAA
XS1661744737
250,000 EUR "Phoenix" Certificates relating to Euro Stoxx 50® Index due 22 January 2026
FR0013265386
EI390JES
FR0013299542
FINTE 3289 SM
XS1554307881
EI479AAA
XS1667655523
BNP IBV EI391JES
FR0013302601
BNP IBV EI452AAA
FR0013290921
BNPP IBV EI2806OLA
XS1684017871
BNPPI EI495AAA - Issue Date: 22 Jan 2018 - FR0013298163
FR0013298163
BNPPI EI736DSE - Issue Date: 22 Jan 2018 - FR0013298668
FR0013298668
BNPPI EI8562ELM - Issue Date: 30 April 2017 - FR0013310166
FR0013310166
BNPPI EI2811OLA - Issue Date: 26 Jan 2018 - XS1700134171
XS1700134171
BNPPI EI0047SLA - ID: 5 Feb 2018 - XS1700168740
XS1700168740
FINTE 3382 MP - EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes
XS1554299682
BNPPI EI589AAA - Issue Date: 8 Feb 2018 - XS1700157545
XS1700157545
BNPPI EI8728ELM
FR0013312451
BNPPI EI398JES - Issue Date: 13 February 2018 - XS1700170480
XS1700170480
BNPPI EI0112SLA - Issue Date: 12 Feb 2018 - XS1707257199
XS1707257199
BNP IBV EI550AAA - Issue Date 15 February 2018 - ISIN Code XS1686412732
XS1686412732
BNP IBV EI399JES - Issue Date 15 February 2018 - ISIN Code XS1700134767
XS1700134767
BNPP EI601AAA 10Y 2M Athena on Euronext France Germany Leaders 50 EW Decrement 5%
XS1714362909
BNPPI EI401JES: Issue Date: 22 Feb 2018 - XS1707249253
XS1707249253
BNPPI EI405JES - Issue Date: 20 Feb 2018 - XS1714368187
XS1714368187
BNPPI EI409JES - Issue Date: 20 Feb 2018 - XS1714368773
XS1714368773
12Y 4M Athena on Euronext France Germany Leaders 50 EW Decrement 5% EUR due 1 July 2030
XS1714360440
BNP IBV EI0119SLA - Issue Date 26 February 2018 - ISIN Code FR0013314382
FR0013314382
BNPPI EI8790ELM - Issue Date: 10 May 2018 - XS1714360952
XS1714360952
BNPPI EI0156SLA - ID: 1 March 2018 - XS1716070781
XS1716070781
BNPPI EI0192YAM - Issue Date: 1 March 2018 - XS1700172692
XS1700172692
BNP IBV EI425JES - Issue Date 6 March 2018 - ISIN Code XS1720403143
XS1720403143
BNPPI EI426JES - Issue Date: 12 March 2018 - XS1720406831
XS1720406831
Autocall Fréquence 2018
FR0013320108
Fréquence Rendement 2018
Athena Escalier Juin 2026
Athena Quotidien Juin 2026
BNP IBV EI0214SLA
XS1732593444
BNP IBV EI0220SLA
XS1732594095
60,000 EUR "Athéna Metis" Certificates relating to EURO STOXX 50® Index due 25 May 2028
FR0013328085
BNPPI EI693AAA - Issue Date: 20 Feb 2018 - FR0013322419
FR0013322419
EUR 30,000,000 Zero Recovery Fixed Rate Credit Linked Notes due January 2024
XS1554295268
Athéna Quotidien Action Vinci S.A. Juin 2023
XS1741914763
Alpha Euro UK Juin 2023
XS1741915067
Series 18745 - Share Linked Redemption Notes due 1 June 2023 - Issue Date 7 May 2018
XS1815281685
EMTN 18704 Athéna Green Juillet 2023
XS180416625
Athena Green Juillet 2023
XS1804166251
K Alpha Fréquence Juillet 2018
FR0013334679
BNP IBV EI3006SLA - Issue Date 1 June 2018 - ISIN Code XS1757278848
XS1757278848
Issue of EUR 30,000,000 Notes relating to the Solactive France 40 Index
XS1787704979
10Y Athena on Solactive France 40 Equal Weight NTR 5% AR Index in EUR
XS1787704896
Frequence Rendement Octobre 2018
Autocall Premium Août 2018
Autocall Fréquence Octobre 2018
FR0013342227
Athena Quotidien Septembre 2026
Athena on Solactive France 40 Equal Weight NTR 5% AR Index
XS1787705356
K Fréquence Août 2018
FR0013344207
10Y Athena on eurozone 70 Equal Weight Synthetic 5% Price Index in EUR
FR0013346962
10Y athena Oxygene on EuroZone 70 Equal Weight Synthetic 5% Price Index in EUR
FR0013346905
BNPPAI EI3164SLA - Issue Date 6 August 2018 - XS1810403516
XS1810403516
BNPPI EI3163SLA - Issue Date: 9 August 2018
XS1810406451
BNPPI EI508JES - Issue Date: 10 August 2018
XS1810407939
BNPPI EI509JES - Issue Date: 10 August 2018
XS1810407855
BNPPI EI3175 - Issue Date: 10 August 2018
XS1810408150
BNPPI EI928AAA - Issue Date: 14 August 2018
FR0013354305
Athena Escalier Novembre 2026
XS1804806096
Athena Quotidien Novembre 2026
XS1804802772
BNPPI EI4520NX - Issue Date: 3 September 2018
XS1810411881
Alta rendement 2018
FR0013335452
EUR 30,000,000 Autocall Standard Securities relating to Sanofi due 28 December 2028
XS1840286030
EUR 100,000,000 Autocall Standard Securities Notes relating to the Solactive France 40 Equal
XS1793707271
EUR 30,000,000 Autocall Standard Securities relating to Societe Generale SA due 24 January 2029
XS1839739320
EUR 30,000,000 Autocall Standard Securities Notes relating to the Solactive France 40 Equal Weight
FR0013368404
OBJECTIF DECEMBRE 2018
FR0013346970
OBJECTIF OXYGENE DECEMBRE 2018
FR0013346939
EUR 30,000,000 SPS Reverse Convertible Standard Securities Notes relating to the EURO STOXX 50 Index
XS1839745483
Autocall Express France Novembre 2018
FR0013368081
Athena Quotidien Decembre 2026
EUR 30,000,000 Autocall Standard Securities Notes relating to EFGED Index due 11 January 2029
XS1839751374
EUR 30,000,000 Autocall Standard Notes realting to SOFRANCE due 7 December 2028
FR0013372133
Neuflize Objectif Croissance Decembre 2026
XS1850625978
30,000 EUR "Athena Quotidien Action Airbus SE Décembre 2023" Certificates relating to Airbus Share
XS1840312489
30,000 EUR "Athena Quotidien Action STMicroelectronics NV Decembre 2023"
XS1840312307
Euro Opportunité décembre 2018
XS1879245964
Athéna Quotidien Février 2027
Oméga Protection 90 Février 2024
EUR 100,000,000 Autocall Standard Securities Notes relating to Euronext Eurozone 70 EW Decrement 5%
FR0013380136
EUR 100,000,000 Autocall Standard Securities Notes relating to Euronext Eurozone 70 EW Decrement 5%
FR0013380128
EUR 30,000,000 Autocall Standard Notes S&P Euro 50 Equal Weight Synthetic 5% Index due 3 April 2029
FR0013385416
EUR 30,000,000 Autocall Standard Securities relating to Engie SA due 14 March 2029
FR0013385390
BNP IBV EI587JES - Issue Date 2 January 2018
XS1885390176
BNPPI EI3353SLA - issue date: 2 Jan 2019
FR0013379195
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013393501
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1885396298
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013386968
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013398377
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013399326
Athena Premium Trimestriel Action AXA SA Avril 2024
30,000 EUR "Athéna Metis" Certificates relating to CAC 40® Index Index due 29 March 2029
FR0013401817
Issue of EUR 60,000,000 Autocall Standard Securities Notes
XS1885391570
Issue of EUR 100,000,000 Autocall Standard Securities Notes
FR0013397833
Issue of EUR 100,000,000 Autocall Standard Securities Notes
FR0013397841
Issue of EUR 100,000,000 Autocall Standard Securities Notes
FR0013390978
150,000 EUR “Athena Privilege ESG Leaders 40 Avril 2027" Certificates relating to ESGE40D Index
XS1885342797
50,000 EUR "Athena Quotidien ESG Leaders 40 Avril 2027" Certificates relating to ESGE40D Index
XS1885342870
EUR 30,000,000 Autocall Standard Securities Notes
FR0013396405
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1885409612
Issue of EUR 30,000,000 Autocall Standard Securities
FR0013405354
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1885412830
Issue of EUR 30,000,000 SPS Reverse Convertible Standard Securities
FR0013406121
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1885416740
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013406279
Issue of EUR 30,000,000 ?SPS Reverse Convertible Securities? Notes
XS1885412590
Issue of EUR 30,000,000 SPS Reverse Convertible Standard Securities
FR0013406824
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013406972
30,000 EUR "Autocall Double Chance Mai 2019" Certificates relating to EURO STOXX 50® Index
XS1914701500
Issue of EUR 50,000,000 Autocall Standard Securities Notes
FR0013400017
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013411063
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1926835056
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013409315
Athena Green Prestige ESG Leaders 40 Juin 2027
Issue of EUR 30,000,000 Autocall Standard Securities
FR0013413275
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013409935
EI617JES - Privalto privilege Mensuel Juin 2019
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013412723
Issue of EUR 30,000,000 Autocall Standard Securities Notes
XS1885390416
Issue of EUR 30,000,000 Autocall Standard Securities
XS1885390259
Issue of EUR 30,000,000 Autocall Standard Securities
XS1885398740
Issue of EUR 30,000,000 Autocall Standard Securities
FR0013406832
Issue of EUR 30,000,000 SPS Reverse Convertible Standard Securities
FR0013407079
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013411402
EUR30,000,000 Athena Autocall Standard Notes linked to the EURO STOXX Banks Index due 12 July 2029
XS1935929379
EUR 30,000,000 Autocall Standard Securities relating to Societe Generale SA due 18 December 2028
XS1850610434
EUR 30,000,000 Autocall Standard Notes
XS1850611242
EUR 30,000,000 Autocall Standard Securities Notes
XS1839739080
EUR 30,000,000 Autocall Standard Securities Notes
XS1810417573
EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA due 28 June 2029
FR0013418837
EUR 30,000,000 Athena Autocall Standard Notes
FR0013418852
EUR 50,000,000 Athena Autocall Standard Linked Notes due 26 July 2029
FR0013413812
EUR 30,000,000 Athena Autocall Standard Linked Notes due 8 August 2031
FR0013415338
Issue of EUR 100,000,000 Autocall Standard Securities Notes
FR0013418001
EUR 30,000,000 Fast Trigger Reverse Convertible Linked Notes due 14 October 2031
FR0013420007
EUR 30,000,000 Athena Autocall Standard Notes linked to BNP Paribas SA due 14 August 2029
FR0013420577
EUR 30,000,000 Index-Linked Athena Fast Trigger Autocall Standard Notes due 17 August 2029
FR0013420593
EUR 30,000,000 Index-linked Athena Fast Trigger Autocall Standard Notes due 2027
XS1935932910
EUR 30,000,000 Index-Linked Notes due 2027
XS1935933058
EUR 30,000,000 Index-Linked Autocall Standard Securities Notes due 7 July 2031
FR0013407343
EUR 30,000,000 Index-linked Autocall Standard Securities Notes due 11 January 2029
XS1793711976
EUR 30,000,000 SPS Reverse Convertible Standard Securities Share Linked Notes due 8 February 2029
XS1781196057
EUR 30,000,000 Index-linked Fixed Coupon Athena Autocall Standard Notes
FR0013422375
EUR 30,000,000 Athena Autocall Standard Notes linked to the CAC40 Index due 16 August 2029
XS1879276928
EUR 30,000,000 Index-linked Athena Fast Trigger Autocall Standard Notes
XS1960173646
EUR 30,000,000 Share-linked Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013425741
EUR 30,000,000 Athena Rebound Autocallable Notes due 16 October 2029 linked to the CAC40® Index
FR0013422995
EUR 30,000,000 Athena Autocall Standard Notes linked to the CAC40® Index due 14 November 2029
FR0013423787
EUR 30,000,000 Index-Linked Athena Fast Trigger Autocall Standard Notes
FR0013425782
EUR 30,000,000 Index-Linked Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013425824
100,000 EUR "Athena Prestige ESG Leaders 40 September 2027" Certificates relating to ESGE40D Index
XS1960191465
EUR 30,000,000 Index-linked Fixed Coupon Athena Autocall Standard Notes
FR0013423100
EUR 30,000,000 Index-linked Athena Autocall Standard Notes
FR0013428232
EUR 30,000,000 Index-linked Digital Coupon Phoenix Reverse Convertible Notes
FR0013428240
EUR 30,000,000 Index-Linked Fixed Coupon Athena Autocall Standard Notes
FR0013428224
USD 5,000,000 Index-Linked Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013428182
EUR 2,000,000 Index-linked Notes due 2029
FR0013433778
EUR 30,000,000 Index-linked Fixed Coupon Athena Autocall Standard Notes due 2031
FR0013422599
EUR 30,000,000 Index-linked Athena Autocall Standard Notes
FR0013434230
USD30,000,000 Reverse Convertible Notes linked to the S&P 500® Index due 12 August 2021
FR0013434255
EUR 30,000,000 Index-linked Athena Autocall Standard Notes due 2029
FR0013436771
EUR 30,000,000 Index-linked Athena Autocall Standard Notes due 2030
FR0013436847
EUR 30,000,000 Share-linked Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013440211
EUR 30,000,000 Index-linked Digital Coupon Phoenix Reverse Convertible Standard Notes due 2029
FR0013436102
EI2702OLA Athean Autocall Standard
FR0013431079
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to
XS1977440145
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013431103
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to TOTAL SA
FR0013442266
Issue of EUR 50,000,000 Athena Autocall Standard Notes
FR0013440278
EUR30,000,000 Index-linked Athena Autocall Standard Notes due 2030
FR0013440294
150,000 EUR "Athena Prestige ESG Leaders 40 November 2027"
XS1964171760
150,000 EUR "Omega 90 ESG Leaders 40 Novembre 2024" Certificates relating to Euronext Eurozone ESG L
XS1964171844
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to
FR0013443066
EUR 50,000,000 Index-linked Fixed Coupon Athena Autocall Standard Notes due 2029
FR0013437068
EUR 30,000,000 Index-linked Fixed Coupon Athena Autocall Standard Notes due 2032
FR0013443595
EUR 50,000,000 Index-linked Athena Autocall Standard Notes due 2029
FR0013428364
EUR 50m Index Linked Notes due January 2008
FR0013435740
EUR 50 million Index Linked Redemption Notes due Janaury 2028
FR0013435740
EUR30,000,000 Athena Autocall Standard Notes linked to the Euro STOXX® Banks Index due November 2025
FR0013446929
EUR 30,000,000 Index-linked Athena Reverse Convertible Notes due 2031
FR0013437043
EUR 30,000,000 Athena Autocall Standard Notes linked to the Euro STOXX® Index due 15 December 2025
FR0013449014
EI313ROP - Athena Fast Trigger Autocall Standard Notes
FR0013449402
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked TOTAL SA
FR0013449873
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013450830
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013452596
Issue of EUR 50,000,000 Athena Autocall Standard Notes
FR0013431095
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013452661
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013454410
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013454428
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
XS2020204371
Issue of EUR 30,000,000 Autocall Standard Securities Notes relating to the EURO STOXX Banks Index
XS2019055834
150,000 EUR "Athena Prestige ESG Leaders 40 Décembre 2027" Certificates relating to ESGE40D Index
XS2011522245
EI13160ELM
XS2020201435
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013455474
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013455524
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013457132
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013453859
EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013456282
EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013457124
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Orange SA
FR0013457363
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013457249
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013446192
30,000 EUR "Athena Premium Trimestriel Action Kering SA Decembre 2024 " Certificates relating to Ker
XS2021844720
BNPPI EI4699NX EUR 30,000,000 Athena Autocall Standard Notes
FR0013457389
BNPPI EI4698NX EUR 30,000,000 Athena Autocall Standard Notes
BNPPI EI3853SLA
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013459674
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013459344
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013459609
EI3605OLA EUR 50,000,000 Index linked Athena Autocall Standard Notes
FR0013453271
EI1734AAA EUR 50,000,000 Index linked Athena Autocall Standard Notes
FR0013459997
EI13332ELM EUR 30,000,000 Index linked Athena Autocall Standard Notes
FR0013458197
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013461076
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013462108
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013463379
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
XS2033182788
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
XS2033182606
Issue of EUR 30,000,000 Athena Reverse Convertible Notes linked to the
FR0013457355
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013463361
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013463262
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the
FR0013463619
Issue of EUR 30,000,000 SPS Reverse Convertible Standard Notes linked to
XS2041362034
150,000 EUR "Athena Prestige Quotidien ESG Leaders 40 Février 2028" Certificates
XS2019060917
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013463759
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013463999
30,000 EUR "Millésime Action Axa Janvier 2020" Certificates
XS2039409631
BNPPI EI9346EVK EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013464104
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
XS2033976585
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013466695
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the
FR0013466745
BNPPI EI700AAA Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P
FR0013459831
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Publicis Groupe SA
FR0013465986
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Engie SA
FR0013466000
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013468352
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013469400
BNPPI EI394ROP EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013468303
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013471703
Issue of EUR 100,000,000 Athena Autocall Standard Notes linked to the
FR0013460698
Athena Premium Trimestriel Action Peugeot SA Février 2025
XS2033228102
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013476538
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weigh
FR0013476108
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013467107
Issue of EUR 30,000,000 Athena Fast Trigger Autocall Standard Notes
FR0013476900
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the CAC40 Index
FR0013476629
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013477726
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked Societe Generales SA due 15 April 2030
FR0013478245
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the
FR0013476850
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013477791
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the
FR0013477544
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013477841
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
FR0013477874
Issue of EUR 30,000,000 Athena Fast Trigger Autocall Standard Notes linked to the S&P Euro 50 Equal
FR0013477775
Issue of EUR 30,000,000 Athena Autocall Standard Notes
XS2055225572
Heliopse Transition Mai 2020
FR0013457728
Issue of EUR 30,000,000 Athena Fast Trigger Autocall Standard Notes
XS2055225655
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013477528
Issue of EUR 30,000,000 Autocall Standard Notes linked to Total SA
FR0013477502
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013478583
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013478872
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013478864
Athena Prestige Quotidien Indice CAC 40 Mars 2028
XS2011513251
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013479599
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013479581
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Societe Generale SA
FR0013480043
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013478468
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013480217
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013480209
Issue of EUR 30,000,000 Athena Autocall Notes linked to a Basket of Shares
FR0013480506
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013480860
Issue of EUR 30,000,000 Autocall Standard Securities Notes
FR0013480605
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013482650
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013482692
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA
FR0013482973
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013483369
Issue of EUR 30,000,000 Athena Reverse Convertible Notes
FR0013476843
Issue of EUR 30,000,000 Reverse Convertible Standard Notes linked to
FR0013483153
BNPPI EI4109SLA EUR 30,000,000 Athena Autocall Notes linked to a Basket of Shares due 12 March 2030
FR0013483799
BNPPI EI4110SLA EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013483773
150,000 EUR "Athena Prestige Quotidien Energy Transition Leaders 50 Mai 2028" Certificates relating
100,000 EUR "Omega 90 Energy Transition Leaders 50 Mai 2025" Certificates relating to Euronext Euroz
XS2053632464
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013486933
BNPPI EI9503EVK EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013483708
BNPPI EI805JES EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
BNPPI EI2083AAA EUR 30,000,000 SPS Reverse Convertible Standard Notes
FR0013488491
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013488111
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013489051
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013489382
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013489531
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013489366
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013489408
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013489374
Issue of EUR 30,000,000 Athena Fast Trigger Reverse Convertible Notes
FR0013489432
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013492782
EI4731NX
FR0013482437
EI4732NX
FR0013482452
Issue of EUR 50,000,000 “Certi plus: Generic Knock-in Securities”
FR0013484375
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013482460
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013498904
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013496361
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013493855
Issue of EUR 50,000,000 ?Certi plus: Leveraged Securities? linked to EURO STOXX 50 Index
FR0013499340
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013507381
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013495256
Omega 95 Certificates on Euronext Eurozone Energy Transition Leaders 50 EW Decrement 5% Index
XS2077756497
Athena Prestige Quotidien Energy Transition Leaders 50 Juillet 2028
XS2067767819
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes
FR0013509361
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013509403
EUR 30,000,000 Autocall Standard Securities Notes relating to the EuroStoxx 50 Index due 6 July 2020
XS2088477679
"Phoenix Snowball" Certificates relating to EURO STOXX 50® Index
FR0013511987
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Total SA due 17 July 2026
FR0013510153
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Unibail Rodamco Westfield
FR0013511722
EUR 30,000,000 SPS Reverse Convertible Standard Securities Notes
FR0013512431
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013512456
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to
FR0013512548
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0013512886
Issue of EUR 120,000,000 Athena Autocall Standard Notes
FR0013512415
Issue of EUR 30,000,000 Athena Fast Trigger Autocall Standard Notes
FR0013513520
Issue of EUR 80,000,000 Athena Autocall Standard Notes
FR0013493830
Issue of EUR 80,000,000 Athena Autocall Standard Notes
FR0013512399
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013515988
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0013514262
Athena Prestige Quotidien Energy Transition Leaders 50 Septembre 2028
XS2101185275
Athena Quotidien" Certificates relating to LVMH Moet Hennessy Louis Vuitton SE Share
XS2126411110
EUR 30,000,000 Athena Autocall Standard Notes linked to Renault SA due 7 August 2025
FR0013520947
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Arcelor Mittal due 14 October 2025
FR0013522687
EUR 40,000,000 Notes linked to EURONEXT TRANSATLANTIC ESG LEADERS 60 Index due 11 December 2030
XS2144403008
EUR 5,000,000 Athena Autocall Standard Notes linked to BNP Paribas SA due 17 July 2025
XS2148829737
EUR 30,000,000 Athena Autocall Standard Notes due 14 October 2030
FR0013523412
EUR 30,000,000 Notes linked to S&P Euro 50 Equal Weight Synthetic 5% Index due 8 October 2032
FR0013517018
EUR5,000,000 Digital Coupon Reverse Convertible Standard Notes relating to Axa SA due 14 August 2020
FR0013523982
EUR 30,000,000 Athena Autocall Standard Index Linked Notes due 9 November 2032
FR0013523198
EUR 30,000,000 Notes linked to Solactive France 20 Equal Weight NTR 5%Index due 16 December 2030
FR0013525979
EUR 30,000,000 Notes linked to Solactive France 20 Equal Weight NTR 5% AR Index due 16 December 2030
FR0013525987
EUR200,000,000 Notes linked to Euronext Eurozone ESG Leaders 40 EW Decrement 5% due 9 January 2031
FR0013514189
EUR 30,000,000 Notes linked to Solactive France 20 Equal Weight NTR 5% AR Index due 4 December 2030
FR0013525995
EUR Repack Certificates linked to SOCIETE GENERALE Subordinated Notes due 1 December 2025
FR0013524543
EUR 5,000,000 Notes relating to Credit Agricole SA due 4 September 2023
FR0013528569
EUR 30,000,000 Athena Autocall Standard Notes
FR0013528981
"Athena Prestige Quotidien iSTOXX Core Euro & Global Water Decrement 5% Octobre 2028" due 23 Oct
XS2149565785
Omega 90 Octobre 2025" due 23 October 2025
XS2149565942
EUR 30,000,000 Notes linked to the EURO STOXX 50 Index due 9 November 2027
FR0013513322
EUR 30,000,000 Notes linked to the EURO STOXX 50 Index due 10 November 2025
FR0013513314
EUR 30,000,000 Athena Autocall Standard Notes linked to ArcelorMittal SA due 13 November 2025
FR0013528791
EUR 30,000,000 Athena Autocall Standard Notes
FR0013533189
Autocall RS
EI4165OLA
EUR 30,000,000 Athena Autocall Standard Notes
FR0013534633
EUR 30,000,000 Athena Autocall Standard Notes
FR0013533668
EUR 30,000,000 Athena Autocall Standard Notes
FR0013536521
EUR 30,000,000 Notes linked to the Euro Stoxx® Banks Index due 13 November 2030
FR0013533890
thena Quotidien Action Microsoft Corp Novembre 2025 Certificates
XS2174209036
150,000 EUR "Athena Quotidien iSTOXX Core Euro & Global Water Decrement 5% Décembre 2028"
XS1754460522
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext Transatlantic ESG Lead
FR0014000C40
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the Euronext
FR0014000D72
Issue of EUR 40,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the Euronext
FR0014000C57
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext Transatlantic ESG
FR0014000261
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal
FR0014000F70
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext Transatlantic ESG
FR0014000GO2
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EURO STOXX 50® Index
FR0014000H37
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Orange SA due 18 November 2025
FR0014000JJ6
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal
FR0014000KJ4
EUR 30,000,000 Digital Athena Autocall Standard Notes linked to Arcelor Mittal due 11 December 2025
FR00140003T5
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal
FR0014000L15
?20,000 EUR "Athena Quotidien" Certificates relating to Compagnie Generale des Etablissements
XS2191288278
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Orange SA due 12 February 2027
FR0014000IL4
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Theam Quant-Equity Climate Care
FR0014000QS2
50,000 EUR "Omega 90 Euronext Core Euro & Global Climate Change Février 2026" Certificates
XS2185604829
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal
FR0014000TD8
Issue of EUR 30,000,000 ?Quartz 10 Action? Notes linked to Orange SA due 12 March 2027
FR0014000IM2
Emission de 40.000.000 d'euros d'obligations indexées sur la performance de l'indice EURO STOXX 50
FR0013527835
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Orange SA due 12 February 2029
FR0014000X29
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Renault SA due 4 February 2025
FR0014000YA4
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014000HQ5
EUR 30,000,000 Athena Autocall Standard Notes
FR00140013H9
Digital Coupon Phoenix SPS Reverse Convertible Standard Index Linked Notes due 31 March 2031
FR00140014X4
Athena Autocall Standard Index Linked Notes due 2 April 2031
FR0014001DQ2
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive Transatlantique 5% AR Index
XS2223397071
Issue of EUR 40,000,000 Athena Autocall Standard Notes linked to the Euronext France Germany Leader
FR0014001G60
Issue of EUR 40,000,000 Athena Autocall Standard Notes linked to the Euronext France Germany Leaders
FR0014001G78
20,000 EUR "Athena Quotidien Action Valeo SA Mars 2024" Certificates relating to Valeo SA
XS2221784791
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top
FR0014001GZ6
Issue of EUR 1,500,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top Pharma
FR0014001MU5
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0014001N53
100,000 EUR "Athena Prestige Quotidien Euronext Core Euro & Global Climate Change Avril 2029"
XS2186745423
?100,000 EUR "Athena Prestige Quotidien Euronext Core Euro & Global Climate Change Février 2029"
XS2185605800
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext Transatlantic ESG
FR0014001TL9
50,000 EUR "Omega 90 Euronext Core Euro & Global Climate Change Avril 2026" Certificates
XS2186747122
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EURO STOXX 50® Index
FR0014001SD8
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0014001RJ7
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014001L89
30,000 EUR "Athena Quotidien" Certificates relating to Schneider Electric SE Share due 2 April 2026
XS2237221648
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top Banks
FR00140020R3
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR
FR00140025Z5
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal
FR0014002572
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes relating to ARCELO
FR00140020O0
Issue of EUR 30,000,000 Quartz Autocall Standard Notes linked to ARCELOR MITTAL due 27 April 2026
FR00140020S1
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext Transatlantic ESG
FR00140027W8
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext France Energy Transiti
FR00140029J1
Issue of EUR 40,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the Euronext Eurozone
FR00140020E1
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014002DV0
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014002EX4
100,000 EUR "Athena Prestige Quotidien Euronext Core Euro & Global Climate Change June 2029"
XS2237211508
50,000 EUR "Omega 90 Euronext Core Euro & Global Climate Change Juin 2026"
XS2237484493
30,000 EUR "Athena Quotidien Action Kering SA Mai 2026" Certificates relating to Kering SA Share
XS2237211334
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014002IV9
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top Banks 2020
FR0014002KY9
EUR 30,000,000 Ulysse Autocall Standard Notes linked to a Basket of Shares due 14 June 2027
FR0014002QC2
Test
EUR 30,000,000 ?Athena? Notes linked to the Euronext France Energy Transition Leaders 40 EW
FR0014002WC0
EUR 30,000,000 ?Topaz 4 Action Airbus? Standard Notes linked to Airbus SE due 6 May 2026
FR0014002S08
EUR 30,000,000 Digital Coupon Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014002CM1
?30,000 EUR "Athena Quotidien Action STMicrolectronics Juin 2025" Certificates
XS2268678641
30,000 EUR "Athena Quotidien Action STMicroelectronics NV Juin 2025"
XS2253907971
?30,000 EUR "Autocallable Reverse Convertible? Certificates relating to STMicroelectronics
XS2268678567
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014003554
EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the EURO STOXX 50
FR0014003A31
EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the EURO STOXX 50
FR0014003A98
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Home Staying Technologies 2020
FR0014003AV4
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top Pharmaceutical
FR0014003C62
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50
FR0014003DP0
EUR 30,000,000 Athena Autocall Standard Notes linked to Societe Generale SA due 14 July 2026
FR0014003CP2
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014003FF6
EUR 30,000,000 Athena Autocall Standard Notes linked to Credit Agricole SA due 14 July 2026
FR0014003E11
EUR 30,000,000 Athena Autocall Standard Notes linked to the Theam Quant-Equity Europe Climate Care
FR0014003E29
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003GF4
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003GJ6
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight Synthetic 5%
FR0014002QZ3
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Home Staying Technologies 2020
FR0014003GK4
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P France 20 Equal Weight 50 Point
FR0014003IC7
EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P France 20 Equal Weight
FR0014003IE3
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003KW1
EUR 30,000,000 Athena Autocall Standard Notes linked to the Euronext France Germany Leaders 50 EW
FR0014003LX7
EUR 50,000,000 Fixed and Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the EUR
FR0014003141
EUR 30,000,000 Athena Autocall Standard Notes linked to Societe Generale SA due 12 August 2026
FR0014003LB3
EUR 33,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50
FR0014003JJ0
EUR 100,000,000Athena Autocall Standard Notes linked to the Euronext Eurozone ESG Leaders Select 40
FR0014003DQ8
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003GI8
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003LC1
Issue of EUR 30,000,000 Athena Autocall Standard Notes
FR0014003O50
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014003MC9
EUR 30,000,000 Autocall Standard Notes linked to a Basket of Shares due 29 July 2027
FR0014003OS1
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P France 20 Equal Weight 50 Point
FR0014003R08
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P France 20 Equal Weight 50 Point
FR0014003R16
50,000 EUR "Omega 90 Euronext Core Euro & Global Climate Change Aout 2026" Certificates
XS2269567439
100,000 EUR "Athena Quotidien Euronext Core Euro & Global Climate Change Aout 2029" Certificates
XS2269581000
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014003HQ9
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Volkswagen AG due 11 August 2027
FR0014003UF5
Issue of EUR 30,000,000 Digital Coupon Reverse Convertible Standard Notes
FR0014003NQ7
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weigh
FR0014003YK7
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014003AB6
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes relating
FR0014003OI2
Issue of EUR 30,000,000 ?Rendement Action Arcelor Juillet 2021? Standard Notes
FR0014003PQ2
Issue of EUR 30,000,000 ?NexAutocall BNP Mensuel Juillet 2021? Standard Notes
FR0014003OR3
Issue of EUR 30,000,000 Digital Coupon Autocall Standard Notes linked to Societe Generale SA
FR0014003TS0
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P France 20
FR0014003Y41
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top
FR0014004180
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares
FR00140042B1
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive Europe & US Top Pharmaceutic
FR00140042A3
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares
FR00140043U9
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares
FR00140043S3
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares
FR0014003XP8
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares
FR00140043T1
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50
FR0014003W01
Issue of EUR 43,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P France 20
FR0014004446
Issue of EUR 30,000,000 ?Maguy 2021? Notes linked to the Solactive Europe & US Top Pharmaceuticals
FR0014004891
Issue of EUR 30,000,000 ?Opportunite Pharma Aout 2021? Notes linked to the Solactive Europe & US Top
FR00140048A0
Issue of USD 30,000,000 Autocall Standard Notes linked to the EURO STOXX Banks Index due 11 August
XS2290207492
BNP Paribas EUR 75,000,000 Green Bond Notes linked to an Index due 10 September 2029
XS2349689633
BNP Paribas EUR 30,000,000 Green Bond Notes linked to an Index due 10 September 2026
XS2352280411
Issue of EUR 30,000,000 Autocall Standard Notes linked to Volkswagen AG due 3 November 2026
FR0014004J23
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to iSTOXX France Germany Benelux 60
FR00140041O6
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50
FR0014003WG9
Issue of EUR 30,000,000 Athena Daily Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014004E93
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014004MS3
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014004RH5
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014004RD4
Issue of EUR 30,000,000 ?Hortus Coupon O Septembre 2021? Notes linked to the S&P Euro 50 Equal
FR0014004Y65
Issue of EUR 60,000,000 Athena Autocall Standard Notes linked to the S&P Eurozone 50 ESG Select
FR0014004WQ6
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014004JO8
Omega 90 Euronext Transatlantic ESG Leaders 60 Octobre 2026
XS2291619893
Athena Quotidien Euronext Transatlantic ESG Leaders 60 Novembre 2029
XS2291620040
Issue of EUR 30,000,000 Planifique Oxygene n.1 Notes linked to the S&P France 20 Equal Weight 50
FR0014004XF7
Issue of EUR 80,000,000 Athena Reverse Convertible Notes linked to Euronext France ESG Leaders 40
FR0014004MP9
Issue of EUR 2,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares due 16
XS2303190651
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight Synthetic 5%
FR0014005HC4
EUR 30,000,000 Autocall Standard Index linked Notes due 6 January 2032
FR0014005PK0
30,000 EUR "Athena Quotidien EURO STOXX® Banks Novembre 2026" Certificates relating to EURO STOXX®
XS2304442341
Issue of EUR 30,000,000 Digital Coupon Reverse Convertible Standard Notes relating to Societe Genera
FR0014005N18
Issue of EUR 30,000,000 Digital Coupon Reverse Convertible Standard Notes relating to AirFranceKLM
FR0014005TZ0
100,000 EUR "Athena Prestige Euronext Transatlantic ESG Leaders 60 Novembre 2029" Certificates
XS2291619976
50,000 EUR "Omega 90 Euronext Transatlantic ESG Leaders 60 Decembre 2026" Certificates relating to
XS2300913584
100,000 EUR "Athena Quotidien Euronext Transatlantic ESG Leaders 60 Decembre 2029" Certificates
XS2300913741
EUR 30,000,000 Autocall Standard Index linked Notes due 24 December 2031
FR0014005YU1
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR00140061H8
Issue of EUR 30,000,000 Snowball Digital Coupon Phoenix Autocall Standard Notes linked to a Basket
XS2304458693
Issue of EUR 30,000,000 Athena Worst-of Autocall Standard Notes linked to a Basket of Shares due 30
FR0014006391
Issue of EUR 30,000,000 Autocall Standard Notes linked to Volkswagen AG due 21 January 2027
FR00140062E3
Plateau Booster Quanto" Certificates relating to Solactive Semiconductor Equipment 2021 AR 5% Index
SE0016785687
Issue of EUR 30,000,000 Digital Coupon Autocall Standard Notes linked to Societe Generale SA due 29
EI18619ELM
Issue of USD 3,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes linked to
XS2315670625
Issue of EUR 30,000,000 Autocall Standard Notes linked to Arcelor Mittal due 19 October 2026
EI18551ELM
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive Europe & US Top Pharmaceutic
EI184RAZ
Issue of EUR 100,000,000 Green Bond Notes linked to an Index due 4 March 2030
XS2395555514
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point
FR0014006M67
EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrem
FR0014006VX9
EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR 5%
FR0014006YU9
EUR 30,000,000 Autocall Standard Notes linked to the EURO STOXX 50® Index due 24 November 2031
XS2321007614
EUR 30,000,000 Athena Daily Autocall One Touch Notes linked to the EURO STOXX® 50 Index
FR0014006XP1
Issue of EUR 30,000,000 ?Privalto Privilege Mars? Athena Autocall Standard Notes linked to Solactive
FR00140073H3
Issue of EUR 30,000,000 SPS Reverse Convertible Securities Share Linked Notes due 15 December 2031
XS2315460738
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight Synthe
FR0014006F74
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Luxury 2021
EI1233JES
Issue of EUR 1,000,000 Digital Coupon Reverse Convertible Standard Notes relating to AirFranceKLM
EI4288AAA
Issue of EUR 1,000,000 Digital Coupon Reverse Convertible Standard Notes relating to ARCELOR MITTAL
EI4289AAA
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Solactive Luxury 2021 Decrement 5%
EI1237JES
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR
EI860ROP
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive Europe & US Top Pharmaceutic
EI4324AAA
Issue of EUR 30,000,000 Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrement Index
EI4360AAA
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P NextGenerationEU Recovery Equity
EI4339AAA
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EURObSTOXX50Index due 10 Jan 30
EI0805EAG
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Solactive France 20 Equal Weight NTR
EI4353AAA
30,000 EUR "Athena Quotidien" Certificates relating to NVIDIA Corp Share due 26 April 2027
XS2019058853
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EURO STOXX®Banks due 8 March 27
EI867ROP
Issue of EUR 30,000,000 Athena Autocall Notes linked to a Basket of Shares due 19 January 2032
EI4817ARL
50,000 EUR "Athena Prestige Quotidien" Certificates relating to S&P Transatlantic 100 ESG Select
XS2011534331
Issue of EUR 30,000,000 Autocall Notes linked to the Solactive France 20 Equal Weight NTR 5%AR Indx
EI0259ACD
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes linked to the S&P
EI4395AAA
Issue of EUR 5,000,000 Notes linked to the Solactive Europe & US Top Pharmaceuticals 2020 AR 5% Indx
EI4426AAA
Issue of EUR 30,000,000 ?Athena?Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrement Indx
EI2166EVK
Issue of EUR 30,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes
EI2167EVK
Issue of EUR 60,000,000 Notes linked to the Solactive France 40 Equal Weight NTR 5% AR Index
EI4441AAA
Issue of EUR 5,000,000 Digital Coupon Autocall Standard Notes linked to the Solactive France 20
EI4461AAA
Issue of EUR 5,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes
EI1286JES
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P NextGenerationEU Recovery
EI2183EVK
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014005W33
Issue of EUR 30,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P Euro 50
EI934ROP
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EUROSTOXX®Banks due 30 March 27
EI0392ACD
Issue of EUR 30,000,000Notes linked to the Bloomberg Luxury 2021 Decrement 50 point Index EUR
EI1288JES
EUR 30,000,000 Autocall Standard Notes linked to the EURO STOXX® Banks due 13 May 2027
FR0014008HJ3
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 40Equal Weight
EI953ROP
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Bloomberg Transatlantic
EI1289JES
Issue of EUR 30,000,000 Autocall Standard Notes linked to Crédit Agricole SA due 3 May 2028
EI0211ACD
Issue of EUR 5,000,000 Athena Autocall Standard Notes linked to the Bloomberg Transatlantic Top Bank
EI0004RAZ
Issue of EUR 30,000,000 Digital Coupon Autocallable Notes linked to Solactive France 20 Equal Weight
FR0014008LT4
Issue of EUR 30,000,000 Phoenix Plus Actions Credit Agricole ? ASML due 26 July 2027
FR0014008LR8
Issue of EUR 30,000,000 ?Autocal Actions Crédit Agricole ? TotalEnergies? Notes due 26 July 2027
FR0014008LS6
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P NextGeneration EU Recovery Equity
FR0014008MS4
Issue of EUR 30,000,000 Phoenix Snowball Notes linked to a Basket of Shares due 13 May 2027
FR00140099L0
Issue of EUR 5,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the Euronext
EI256RAZ
Issue of EUR 5000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes linked
XS2354860756
Issue of EUR 5,000,000 Fixed Coupon Athena Autocall Standard Notes linked to the S&P Euro 50 Equal
EI2243EVK
Issue of EUR 5,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes linked
EI2244EVK
Issue of EUR 30,000,000 Phoenix Snowball Standard Notes linked to the S&P Euro 50 Equal Weight
XS2358180359
Issue of EUR 30,000,000 Phoenix Snowball Standard Notes linked to the S&P Euro 50 Equal Weight
XS2358180433
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR0014009HR4
Issue of EUR 20,000,000 Athena Autocall Standard Notes linked to the S&P Eurozone 50 ESG Select
FR0014008P21
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to ARCELOR MITTAL due 11 May 2027
FR0014009DV5
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
FR00140087G5
Issue of EUR 30,000,000 Digital Coupon SPS Reverse Convertible Notes linked to the Solactive France
FR0014009IV4
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive Europe & US Top Pharm
FR0014009GP0
Issue of EUR 30,000,000 Athena Worst-of Notes linked to a Basket of Shares due 23 April 2029
FR0014008FL3
8Y Athena on EU_SPEJPFEN, EUR in EUR
XS2348436309
5Y Phoenix on EU_SPEJPFEN, EUR in EUR
XS2348435756
Athena Quotidien on Credit Agricole SA in EUR
XS2034007729
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the EURO STOXX 50® due 17 June 2032
FR0014009LV8
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Eurozone30 Net Zero 2050 Paris-Aligned
FR0014009KE6
Issue of EUR 5,000,000 Notes linked to the Bloomberg Luxury 50 Point Index due 15 June 2032
XS2367921371
Émission de 30 000 000 d?euros d?obligations indexées sur la performance de l?indice EURO iSTOXX®
FR0014007DW7
Emission de 30.000.000 d'euros d'obligations indexées sur la performance de l'indice EURO iSTOXX®
FR0014004XV4
Issue of EUR 5,000,000 Digital Coupon SPS Reverse Convertible Notes linked to the Bloomberg Europe
XS2367921454
EUR 30,000,000 Digital Coupon SPS Reverse Convertible Notes linked to the S&P NextGenerationEU
EI4766AAA
Issue of EUR 30,000,000 Autocall Standard Notes linked to the Bloomberg Transatlantic Top Banks
XS2367921538
Issue of EUR 30,000,000 Athena Worst-of Notes linked to a Basket of Shares due 09 March 2027
EI967ROP
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P Transatlantic 100 ESG Select
FR001400A1R5
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the S&P Euro 50 Equal Weight
EI0133JAX
Issue of EUR 30,000,000 "Phoenix" Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrement
EI1035ROP
EUR 23,000,000 Credit Linked Notes with principal and interest at risk on the untranched iTraxx
FR001400A3X9
Issue of EUR 30,000,000 Athena Standard Notes linked to Credit Agricole SA due 17 June 2027
FR001400A043
Issue of EUR 30,000,000 Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrement Index
EI2268EVK
Issue of EUR 30,000,000 Notes linked to the S&P Euro 50 Equal Weight 50 Point Decrement Index
EI2269EVK
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to ARCELOR MITTAL due 14 July 2027
FR001400A8D0
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weigh
EI0132JAX
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Bloomberg Europe Top Energy
EI1342JES
Issue of EUR 30,000,000 Digital Coupon SPS Reverse Convertible Notes
EI4789AAA
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P France 20 Net Zero 2050
EI1340JES
Issue of EUR 30,000,000 Autocall Standard Notes linked to the S&P France 20 Net Zero 2050
EI1341JES
Issue of EUR 30,000,000 Digital Coupon Phoenix Reverse Convertible Standard Notes
EI1183ACD
Issue of EUR 30,000,000 5Y Phoenix Reverse Convertible Standard Notes relating
EI1233ACD
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to Bloomberg Transatlantic Top Banks
EI4814AAA
Issue of EUR 5,000,000 Athena Reverse Convertible Standard Notes linked to a Basket of Shares
EI1338JES
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Solactive France 20 Equal Weigh
EI1344JES
Issue of EUR 30,000,000 S&P Euro 50 Equal Weight 50 Point Decrement Index (Series 2) (EUR) TR Notes
FR0014009CK0
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to S&P Eurozone 30 Net Zero 2050 Paris
FR00140099Q9
Issue of EUR 30,000,000 Athena Standard Notes linked to Stellantis NV due 5 July 2027
FR001400ADA3
Issue of EUR 30,000,000 Autocall Standard Notes linked to the EURO STOXX 50® Index due 15 July 2032
FR0014009M31
Issue of EUR 30,000,000 Athena Standard Notes linked to ARCELOR MITTAL due 16 August 2027
FR001400AFQ4
Issue of EUR30,000,000Fixed Coupon Autocall Standard Notes linked to the Euronext France ESG Leaders
EI0230OSS
Issue of EUR 30,000,000 Digital Coupon SPS Reverse Convertible Notes linked to the S&P Euro 50 Equal
EI4819AAA
Issue of EUR 30,000,000 Snowball Digital Coupon Phoenix Reverse Convertible Standard Notes
FR0014009QT1
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Bloomberg Luxury 2021
FR0014008OR2
Athena Quotidien Action Credit Agricole SA Juillet 2027
XS2379670206
30,000 EUR "Athena Premium Août 2027" Certificates relating to EURO STOXX 50® Index due 12 August 27
XS2380243233
8Y Athena Prestige on S&P EuroUSAJapan 100 Net Zero 2050 Paris-Aligned Select 5% Decrement Index
XS2372837240
Athena Quotidien Stellantis NV Juillet 2027
XS2372798160
5Y Omega on EUR, EU_SPEJPFEN in EUR
XS2372819859
Omega 100 Indice Euro Stoxx Banks Aout 2027
XS2380248976
Issue of EUR 30,000,000 Fixed Coupon Autocall Standard Notes linked to the Bloomberg Transatlantic
FR001400ATJ0
Issue of EUR 30,000,000 Athena Autocall Standard Notes linked to the Bloomberg Luxury 2021 Decrement
FR001400AYC5
12Y Athena on EUR, EU_SPEU50ES in EUR
FR001400ABY7
5Y Bullish note linked to EURO STOXX 50¿ in EUR
FR001400B2L5
5Y Athena on FR_AIR in EUR
XS2406095336
Lotus 10 action FAURECIA 2022
FR001400C9B0
Starlight
XS2396241460
8Y 2M Autocallable Reverse Convertible on EUR, EU_SPEJPFEN in EUR
XS2396246691
5Y Autocallable Reverse Convertible on FR_MC in EUR
XS2396241387
Émission de 30 000 000 d'euros d'obligations indexées sur la performance de l?indice EURO iSTOXX 50®
FR001400C2E9-FR
10Y 2M Autocallable Reverse Convertible on FR_SOFRAN20, EUR in EUR
FR001400CNN1
Starlight 100 Net Zero Paris Aligned Select Janvier 2028
XS2428621986
Athena Quotidien Net Zero Paris Aligned Select Janvier 2031
XS2428623503
up to EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due 26 Oct 32
FR001400D2U4
up to EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 15 December 32
FR001400D4X4
6Y 2M Digit Memoire Euro Stoxx 50 Decembre 2022 on EURO STOXX 50¿ in EUR
FR001400D9X3
Tamaris 9 Action Faurecia
FR001400D4S4
up to EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 16 December 32
FR001400DBV7
up to EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 10 February 33
FR001400DGE2
Athéna Quotidien Euro Stoxx ESG mars 2031
XS2435988931
3Y 4M Reverse Convertible Advanced on EURO STOXX 50¿ in EUR
FR001400DJY4
Emission de 200.000.000 d?euros d?obligations « Green Bond » indexées sur la performance de l'indice
FR001400CZ43
Starlight 100 Net Zero Paris Aligned Select mars 2027
XS2441474702
Starlight 100 Net Zero Paris Aligned Select mars 2027
EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 20 January 2033
FR001400EZM3
Calliandra Mars 2031
XS2442159716
Athena Premium
XS2445936409
5Y Phoenix Snowball on FR_VIE in EUR
XS2444091131
EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due 14 April 2028
FR001400EX76
STARLIGHT
XS2101170830
Issue of up to EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 10 Ma
FR001400FIR5
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 21 April
FR001400FPN9
Athena Quotidien
XS2189851814
Athena Quotidien
XS2459867698
Athena Quotidien
XS2329414721
12Y 4M Phoenix on EUR, EU_SPEU50ES in EUR
FR001400F1Y6
Calliandra Mai 2028
XS2442385998
7Y 2M Athena on EURO STOXX 50¿ in EUR
FR001400GPM9
Issue of EUR 30,000,000 Autocall Standard Notes linked to Solactive Société Générale AR 1.65 indx
EI4729EAG
12Y 3M Evolusis 10 on S&P EuroUSAJapan 100 Net Zero 2050 Paris-Aligned Select 5% Decrement Index
FR001400GFM0
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 31 July2033
FR001400H2L9
EUR 30,000,000 Credit Linked Notes with interest at risk on a 0% to 2.4% tranche of the iTraxx
XS2502564268
8Y Athena on EUR, EU_TITAN40T in EUR
XS2502563617
5Y Athena Premium on SX5E in EUR
XS2502566479
Athena Prestige Strike Min on EURO STOXX¿ Banks in EUR
XS2473176274
Athena Quotidien MSCI Eurozone Social Juillet 2031
XS2484917104
Starlight 100 MSCI Eurozone Social Juillet 2027
XS2484916981
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 29 Septembe
FR001400HMJ0
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 26 May 2033
FR001400H782
Callable Omega Indice CAC 40 Juin 2023
XS2505124813
5Y 2M Phoenix on EU_STOXX50E in EUR
FR001400HU43
5Y 2M Phoenix on EU_SX7E in EUR
FR001400HTY4
5Y Athena Quotidien on NVIDIA Corp in EUR Quanto
XS2473180110
5Y Athena Quotidien LVMH on LVMH Moet Hennessy Louis Vuitton SE in EUR
XS2473179963
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 4 Aug 2033
FR001400IFU9
Starlight 100% KG on MSCI Eurozone Social Select 30 decrement 5% NTR EUR Index in EUR
XS2490605347
Athena Quotidien on MSCI Eurozone Social Select 30 decrement 5% NTR EUR Index in EUR
XS2490605263
EUR 10,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Securities
XS2506535736
Issue of EUR 30,000,000 Credit Linked Notes with interest at risk on a 0.00% to 3.20% tranche
FR001400ISB2
Issue of EUR 30,000,000 Quartz Notes linked to the Solactive BNP PARIBAS AR 3.6 Index due 24 October
FR001400IV41
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due 30 Nov
FR001400IZL6
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due 30 Nov
FR001400IZM4
Iris Action TotalEnergie
FR001400JXM7
Issue of EUR 30,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Notes due 30
FR001400K1G6
Emission de 225.000.000 d?euros de « Social Bond » indexées sur la performance de l'indice MSCI Worl
FR001400IO08
5Y Athena Airbag on EURO STOXX 50¿ in EUR
XS2253882539
4Y Athena on EU_ESGEZ, EUR in EUR
XS2007886489
8Y Athena Daily on EU_ESGEZ, EUR in EUR
XS2007898732
Athéna Prestige
XS2288437333
Athéna Prestige Strike Min
XS2537632726
Issue of EUR 10,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Securities
XS2576624204
12Y 3M Athena on S&P EuroUSAJapan 100 Net Zero 2050 Paris-Aligned Select 5% Decrement Index (EUR
FR001400J8X9
Issue of up to EUR 30,000,000 Autocall Standard Notes linked to the CAC40 Index due 15 December 202
FR001400KP60
Issue of up to EUR 30,000,000 Autocall Standard Notes linked to the CAC40 Index due 15 December 202
FR001400KP78
Athena Quotidien on VEOLIA ENVIRONNEMENT in EUR
XS2604997853
Athena Quotidien on AXA SA in EUR
XS2604998075
Opportunite Volkswagen Decembre 2023
FR001400L2H1
Issue of Underlying Interest Rate Linked Certificates FICRT 13126 FR
XS2606071038
Issue of Underlying Interest Rate Linked Certificates FICRT 13179 FR
XS2606074487
Issue of Underlying Interest Rate Linked Certificates FICRT 13180 FR
XS2606074560
Issue of Underlying Interest Rate Linked Certificates FICRT 13181 FR
XS2606074644
Issue of Underlying Interest Rate Linked Certificates FICRT 13182 FR
XS2606074727
Issue of Underlying Interest Rate Linked Certificates FICRT 13183 FR
XS2606074990
Issue of Underlying Interest Rate Linked Certificates FICRT 13184 FR
XS2606075021
Issue of Underlying Interest Rate Linked Certificates FICRT 13185 FR
XS2606075294
Issue of Underlying Interest Rate Linked Certificates FICRT 13186 FR
XS2606075377
Issue of Underlying Interest Rate Linked Certificates FICRT 13187 FR
XS2606075450
Issue of Underlying Interest Rate Linked Certificates FICRT 13188 FR
XS2606075534
Issue of Underlying Interest Rate Linked Certificates FICRT 13189 FR
XS2606075617
Issue of Underlying Interest Rate Linked Certificates FICRT 13190 FR
XS2606075708
Issue of Underlying Interest Rate Linked Certificates FICRT 13191 FR
XS2606075880
Issue of Underlying Interest Rate Linked Certificates FICRT 13192 FR
XS2606075963
Issue of Underlying Interest Rate Linked Certificates FICRT 13193 FR
XS2606076003
Issue of Underlying Interest Rate Linked Certificates FICRT 13194 FR
XS2606076185
Issue of Underlying Interest Rate Linked Certificates FICRT 13195 FR
XS2606076268
Issue of Underlying Interest Rate Linked Certificates FICRT 13196 FR
XS2606076342
Issue of Underlying Interest Rate Linked Certificates FICRT 13197 FR
XS2606076425
Issue of Underlying Interest Rate Linked Certificates FICRT 13198 FR
XS2606076698
Issue of Underlying Interest Rate Linked Certificates FICRT 13199 FR
XS2606076771
Issue of Underlying Interest Rate Linked Certificates FICRT 13200 FR
XS2606076854
Issue of Underlying Interest Rate Linked Certificates FICRT 13201 FR
XS2606076938
Issue of Underlying Interest Rate Linked Certificates FICRT 13202 FR
XS2606077076
Issue of Underlying Interest Rate Linked Certificates FICRT 13203 FR
XS2606077159
Issue of Underlying Interest Rate Linked Certificates FICRT 13204 FR
XS2606077233
Issue of Underlying Interest Rate Linked Certificates FICRT 13205 FR
XS2606077316
Issue of Underlying Interest Rate Linked Certificates FICRT 13206 FR
XS2606077407
Issue of Underlying Interest Rate Linked Certificates FICRT 13135 FR
XS2606071970
Issue of Underlying Interest Rate Linked Certificates FICRT 13134 FR
XS2606071897
Issue of Underlying Interest Rate Linked Certificates FICRT 13133 FR
XS2606071624
Issue of Underlying Interest Rate Linked Certificates FICRT 13132 FR
XS2606071541
Issue of Underlying Interest Rate Linked Certificates FICRT 13130 FR
S2606071384
Issue of Underlying Interest Rate Linked Certificates FICRT 13129 FR
XS2606071202
Issue of Underlying Interest Rate Linked Certificates FICRT 13177 FR
XS2606074214
Issue of Underlying Interest Rate Linked Certificates FICRT 13178 FR
XS2606074305
Issue of Underlying Interest Rate Linked Certificates FICRT 13144 FR
XS2606072515
Issue of Underlying Interest Rate Linked Certificates FICRT 13143 FR
XS2606072432
Issue of Underlying Interest Rate Linked Certificates FFICRT 13142 FR
XS2606072358
Issue of Underlying Interest Rate Linked Certificates FICRT 13140 FR
XS2606072275
Issue of Underlying Interest Rate Linked Certificates FICRT 13139 FR
XS2606072192
Issue of Underlying Interest Rate Linked Certificates FICRT 13131 FR
XS2606071467
Issue of Underlying Interest Rate Linked Certificates FICRT 13161 FR
XS2606074131
Issue of Underlying Interest Rate Linked Certificates FICRT 13160 FR
XS2606074057
Issue of Underlying Interest Rate Linked Certificates FICRT 13159 FR
XS2606073919
Issue of Underlying Interest Rate Linked Certificates FICRT 13158 FR
XS2606073836
Issue of Underlying Interest Rate Linked Certificates FICRT 13157 FR
XS2606073752
Issue of Underlying Interest Rate Linked Certificates FICRT 13156 FR
XS2606073679
Issue of Underlying Interest Rate Linked Certificates FICRT 13155 FR
XS2606073596
Issue of Underlying Interest Rate Linked Certificates FICRT 13154 FR
XS2606073323
Issue of Underlying Interest Rate Linked Certificates FICRT 13153 FR
XS2606073240
Issue of Underlying Interest Rate Linked Certificates FICRT 13152 FR
XS2606073166
Issue of Underlying Interest Rate Linked Certificates FICRT 13149 FR
XS2606073083
Issue of Underlying Interest Rate Linked Certificates FICRT 13148 FR
XS2606072945
Issue of Underlying Interest Rate Linked Certificates FICRT 13147 FR
XS2606072861
Issue of Underlying Interest Rate Linked Certificates FICRT 13146 FR
XS2606072788
Issue of Underlying Interest Rate Linked Certificates FICRT 13145 FR
XS2606072606
Issue of Underlying Interest Rate Linked Certificates FICRT 13127 FR
XS2606071111
Issue of Underlying Interest Rate Linked Certificates
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 31 October
FR001400KFM2
5Y Phoenix on EU_STOXX50E in EUR
FR001400L6R1
Issue of 30,000 EUR Notional Value Repack Certificates linked to ELO S.A. due April 2029
FR001400LJ34
10Y 2M Opportunit¿ D¿cembre 2023 on S&P Euro 50 Equal Weight Synthetic 5% Price Index in EUR
FR001400LFB3
8Y Athena on EU_MXSOCIAL, EUR in EUR
XS2638621552
3Y Reverse Convertible advanced New on FR_CAC in EUR
XS2638621396
4Y Athena on EUR, EU_MXSOCIAL in EUR
XS2638621719
H Absolu 17
FR001400LEV4
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Securities due 8 Dece
FR001400LFY5
Issue of EUR 50,000,000 "Share Linked Securities" due 14 February 2029
Issue of EUR 30,000,000 "Index Linked Securities" due 26 November 2029
FR001400LSR2
Issue of EUR 30,000,000 "Share Linked Securities" due 14 December 2028
FR001400KM06
Issue of EUR 30,000,000 "Index Linked Securities" due 4 January 2034
FR001400L347
Issue of EUR 30,000,000 "Index Linked Securities" due 12 December 2033
FR001400KWP0
Issue of EUR 30,000,000 "Index Linked Securities" due 15 January 2029
FR001400LN46
Issue of EUR 30,000,000 Fixed Rate to Underlying Interest Rate Linked Interest Notes due 29 March 20
FR001400M980
Athena Worst-of
FR001400MER0
5Y 2M Athena Worst-of on FR_VK, FR_URW in EUR
FR001400MK30
Issue of EUR 30,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Notes due 19
FR001400MES8
Issue of EUR 30,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Notes due 28
FR001400MF29
Privil�ge Titan Transatlantic Mars 2024
FR001400MTU2
SG PRIVILEGE JANVIER 24
FR001400MQG7
Ambre 12 Action Stellantis
FR001400MYV0
Topaz 17 Action Renault
FR001400MYT4
Athéna Prestige Trimestriel MSCI Eurozone Social Mars 2032
XS2664550113
Starlight 100 MSCI Eurozone Social Mars 2028
XS2664550030
Issue of EUR 30,000,000 Callable Fixed Rate to Underlying Interest Rate Linked Interest Notes
FR001400MYY4
Athéna Premium Trimestriel Indice EuroStoxx 50 Mars 2029
XS2664564411
Athéna Mensuel Privilège Action Compagnie de Saint-Gobain Mars 2029
XS2669948858
Athéna Quotidien Privilège Action Stellantis NV Mars 2029 EUR
XS2669948692
Athéna Quotidien Action Adidas AG Mars 2029
XS2673617119
Athéna Quotidien Action ASML Holding NV Mars 2029
XS2673617200
Mascarat 2
FR001400N4E2
Omega 31 Indice SG Decrement 1.65 points
FR001400N5H2
Athéna Privilège Septembre 2024
FR001400NCM3
Autocall IA Janvier 2024
FR001400N7X5
Hésiode
FR001400NAN5
Duo Rendement Trimestriel Janvier 2024
FR001400NDA6
Note Callable Mars 2024
FR001400N6Z2
Venus 4 Indice Euro Stoxx 50
FR001400NCF7
Note Callable Mars 2023
FR001400N6Y5
PG SELECTION FRANCE 10 AVRIL 2024
FR001400NEM9
Reverse Unibail 2028 on UnibailRodamcoWestfield
FR001400N988
Objectif Pente Avril 2024
FR001400NHB5
PHOENIX MÉMOIRE EURO STOXX BANKS MARS 2032
XS2695151980
Olympe avril 2024
FR001400NHN0
PHOENIX MÉMOIRE TRIMESTRIEL SAINT[1]GOBAIN JANVIER 2024
FR001400NIT5
D Rendement Action BNP Paribas 3,25 Avril 2024
FR001400NHY7
Nemesia Mai 2030
XS2680101065
RENDEMENT TRIMESTRIEL ACTION RENAULT 2024
FR001400NHI0
PRIVILÈGE UTILITIES MARS 2024
FR001400NHD1
Sphinx 12
FR001400NDD0
D Rendement G Taux Avril 2024
FR001400NOC9
OPPORTUNITÉ FRANCE MAI 2024 ? PART A
FR001400NU94
Aiguille de Bionnassay 2024
FR001400NNB3
Opportunité France Mai 2024 - Part B
FR001400NU37
India 3
FR001400NQC4
Ingef2i Taux 2024
FR001400NMT7
Autocall Banque Mars 2024
FR001400NT14
D Rendement US Mai 2024
FR001400NZZ6
Phoenix Taux Avril 2024
FR001400O4B7
EUR 30,000,000 Underlying Interest Rate Notes due 6 May 2034
FR001400NOD7
Opportunité Multi-Secteur Value Avril 2024
FR001400O1G2
Starlight 100 S&P Eurozone Température Mai 2029
XS2703313192
Athéna Prestige Trimestriel S&P Eurozone Température Mai 2032
XS2703298617
Transatlantique Rendement Avril 2024
FR001400NDH1
PHOENIX TAUX FÉVRIER 2024
XS2606080534
Olympe
XS2766742006
Autocall Taux Avril 2024
FR001400OCR0
Autocall Taux Juin 2024 G
FR001400OJ07
Autocall Taux Juin 2024
FR001400OJ49
Opportunity 8 2034
XS2767262269
Opportunité Taux Mai 2024
FR001400O1K4
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 30 April 2036
FR001400O3Y1
Note Autocall Taux Avril 2024
FR001400O9F7
K Taux Juin 2024
FR001400OI99
Autocall Action Renault Mai 2024
FR001400OJW5
Athéna Privilège Bimestriel Action Veolia Environnement Mai 2029
XS2484628172
Athéna Prestige Mensuel Action Salesforce Mai 2029
XS2484911321
Note Autocall Taux Mai 2024
FR001400OR31
RINCON Avril 2024
FR001400ONX5
MILLEIS PREMIUM SEMI-CONDUCTEURS
FR001400O7Y2
K Prestige Mai 2024
FR001400OP66
Athéna Quotidien Action Sanofi SA Mai 2029
XS2440498264
Athéna Quotidien Action Infineon Technologies AG Mai 2029
XS2440498421
Privilege Energie Juin 2024
FR001400OWI7
Privilege Energie Juin 2024
FR001400OWI7
Valoris Privilège Juin 2024
FR001400OV43
Perspectives Taux 2024
FR001400OTL7
EuroStoxx 50 Juin 2024
FR001400OCD0
Autocall Taux Juillet 2024
FR001400P181
Finance Autocall S&P 500 Juin 2027
FR001400P4U6
Athéna Prestige Indice Euro Stoxx Banks Mai 2029
XS2741514124
Autocall Taux Juin 2024 A
FR001400P314
Distribution CMS10Y Mai 2024
FR001400OX58
Acacia 9
FR001400OZF6
Venus 6 Euro STOXX®50
FR001400P5Q1
Opportunité Action ENGIE
FR001400NU86
Athéna Prestige Indice Euro Stoxx Banks Mai 2029
XS2656196909
Autocall Taux Juillet 2024 G
FR001400P512
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Securities due 29 May 2036
FR001400OX25
Rendement Taux Juillet 2024
FR001400OE28
M Équilibre
FR001400P983
Lotus 8 Forvia Mai 2024
FR001400OUO9
Privilège Action BNP Juillet 2024
FR001400PAI0
Opportunité Taux Juin 2024
FR001400P7K0
Phoenix CMS Juillet 2024
FR001400PAY7
Privilège Rendement Mai 2024
FR001400ODY4
Taux Opportunité Mai 2024
FR001400OZG4
Lotus 13 Tech Mai 2024
FR001400OUL5
Rendement Taux Juillet 2024 (S)
FR001400PE43
Opportunité Technologie Mai 2024
FR001400OTM5
Premium Energie Juin 2024
FR001400PGL1
Premium Energie Juin 2024 - Part S
FR001400PI98
TARN DEFENDER MAI 2024
FR001400O3P9
Athéna Prestige Trimestriel S&P Temperature Juillet 2032
XS2741447937
Starlight 100 S&P Temperature Juillet 2029
XS2741448075
Opportunité Patrimoine Rendement Juin 2024
FR001400PLN7
Opportunité Actions Juillet 2024
FR001400PI80
H absolu
FR001400NT30
Phoenix CMS Septembre 2024
FR001400PL93
Phoenix Rendement Septembre 2024
FR001400PL85
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 31 July 2036
FR001400OPE43
Atlas 10 ans Taux EUR 10Y 2024
FR001400PF91
Acacia 11
FR001400PM27
R Taux juillet 2024 - Part S
FR001400PPN8
Starlight 100 Taux Euro Mai 2031
FR001400POF7
Athéna Prestige France Sélection Fixe Juin 2032
XS2749310608
K Rendement CMS Juillet 2024
FR001400PKR0
Phoenix Taux Octobre 2024
FR001400PNS2
Privilège Défense Juillet 2024
FR001400POW2
Acacia 12
FR001400PPR9
Athéna sur Infineon Technologies AG Janvier 2029
FR001400NLL6
Athéna Dégressif Pharma Juin 2024
FR001400PQ56
Phoenix Mémoire Vivendi Veolia Juin 2024
FR001400PMK1
Phoenix Mémoire Trimestriel Défense Juin 2024
FR001400POQ4
Autocall Taux Juillet 2024
FR001400PPW9
R Taux Juillet 2024 ? Part C
FR001400PRW5
Horizon Taux Juillet 2024
FR001400PT79
Phoenix Taux Juillet 2024
FR001400PXC5
2024-2034 Phoenix Transatlantic Septembre 2024
FR001400PYX9
Premium Taux 2024
FR001400PZ48
Opportunité Sélection France Juillet 2024
FR001400PRV7
Stratégie Patrimoine C Juillet 2024
FR001400OTF9
Phoenix Taux Juin 2024
FR001400OX82
Autocall Global Thematiques Mai 2024
FR001400OZD1
PENTE HORIZON JUILLET 2024
FR001400P389
Phoenix Taux Fin-Avril 2024
FR001400P777
Phoenix Mémoire WO SP500 SX5E USD Mars 2024
XS2638604038
Premium Taux 2
FR001400PM43
Premium Taux 2
FR001400PLZ1
D rendement Credit Agricole Juillet 2024
FR001400POZ5
Privilège Energie Juillet 2024
FR001400POP6
Privilège Taux Juillet 2024
FR001400PP08
D Rendement US Juillet 2024
FR001400PPU3
Phoenix Memoire Trimestriel Foncieres Juin 2024
FR001400POV4
Phoenix CMS 10 ans juin 2024
FR001400PV42
Hortus Phoenix CMS Juillet 2024
FR001400PWT1
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FR001400PQQ9
Rendement Privé 7
FR001400PU50
L. Opportunité Prestige 2024
FR001400Q023
Action Rendement Volkswagen Juillet 2024
FR001400PTX9
4Y 10M ATHÉNA ON CAPGEMINI S.E. IN EUR
FR001400PPT5
Topaz 18
FR001400PWQ7
Premium Action SG Juin 2024
FR001400PYZ4
Athéna Semestriel Eurostoxx 5A Mai 2024
FR001400Q0N8
Premium Action Stellantis Juin 2024
FR001400PZ22
PHOENIX TAUX JUIN 2024
FR001400Q1R7
AE 11
FR001400Q0P3
Phoenix CMS Trim 10Y Juillet 2024
FR001400PWU9
Phoenix Mémoire Trimestriel Panier Wo Mai 2024 (2)
XS2811644496
Athéna Semestriel Eurostoxx 5A Avril 2024
FR001400Q0C1
Phoenix CMS DS Juillet 2024
FR001400PX24
Phoenix Taux CMS Juin 2024
FR001400Q5H9
Autocall Indice Credit Agricole 0.90 Juin 2024
FR001400PZ63
Callable Taux Fixe BNP Paribas Juin 2034
FR001400Q239
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 29 September 2034
FR001400Q0Q1
Note Autocall Taux Juin 2024
FR001400Q3W3
ALPHA TITAN JUIN 2024
FR001400Q478
PERGAM RiTM EUROPE
FR001400PLI7
BNP Paribas Taux Fixe Août 2034
XS2759240836
Autocall Airbag sur Novo Nordisk Mai 2024
FR001400Q205
Athéna Quotidien Action BMW Juillet 2029
XS2759234862
Premium Taux Juillet 2024
FR001400QAJ6
Note USD Phoenix CMS 2Y Juillet 2024
FR001400QBZ0
Issue of EUR 30,000,000 Underlying Interest Rate Securities due 26 July 2030
FR001400Q5J5
Distribution Transatlantique Juillet 2024
FR001400QC02
Athena Mensuel sur WO ASML/Banco Santander
XS2773926402
UFF Eurozone Rendement Mai 2024
FR001400OZA7
Distribution Taux CMS Août 2024
FR001400QCU9
Privilege Trimestriel Oct 2024
FR001400QEJ8
Aliquis Transat Degressif Juillet 2024
FR001400QEG4
Opportunité Transatlantique Juillet 2024
FR001400QB45
BNP Paribas Taux Fixe Août 2034
XS2759240836
Phoenix Taux Septembre 2024
FR001400QEP5
Athéna Bearish sur Taux 10 ans Mai 2024
XS2782358662
VR3
FR001400QHQ6
EDEN 9
FR001400QAH0
Phoenix Taux Septembre 2024
FR001400QEP5
PHOENIX MÉMOIRE WOF MAI 2024
FR001400Q5C0
Opportunité Titans Eurozone Juillet 2024
FR001400QJ96
Rendement Taux EURO
FR001400QGT2
Phoenix EVLF Juillet 2024
FR001400QGS4
Proximité Taux Août 2024
FR001400QKN7
Athéna Annuel 8 Ans CAC® 40
FR001400Q7V6
Athéna Semestriel Orsted Juillet 2024
FR001400QG81
Athéna Prestige Trimestriel Action Schneider Electric SE Août 2029
XS2777164299
Starlight 100 S&P Température Septembre 2029
XS2782345412
Athéna Privilège Mensuel Action ASML Holding NV Août 2029
XS2777163721
Athéna Taux Juillet 2024 G
FR001400QBY3
Phoenix Transatech Juillet 2024
FR001400QKA4
Phoenix AGP Septembre 2024
FR001400QGQ8
Phoenix CMS Trim Août 2024
FR001400QEF6
CAPDIX Patrimoine Octobre 2024
FR001400PGM9
Phoenix Taux Juillet 2024 - Part A
FR001400Q7U8
Phoenix Taux Août 2024
FR001400QH80
Opportunité SoFrance Aout 2024
Phoenix Taux Octobre 2024
XS2784822350
Phoenix Taux Novembre 2024
XS2784218211
SL Phoenix Taux Juin 2024
XS2792954393
5Y 5M Athena on DE_VOW3 in EUR
FR001400PO33
Athéna Prestige Trimestriel S&P Temperature Septembre 2032
XS2782345842
8Y Athéna Mensuel Série VII sur le SOFRAN20 Juin 2024
XS2759169944
Stratégie Taux AD M
FR001400QLE4
Émeraude Taux Juillet 2024
FR001400QNZ5
Phoenix CMS G Août 2024
FR001400QLD6
Grand Large 2024
FR001400QR05
Athena Mensuel Serie VIII sur le SPEU50ES Juin 2024
XS2759169860
Privilège Transatlantic Sector Août 2024
FR001400QTM0
CP Trimestriel Taux 2024
FR001400QQ55
Phoenix CMS Octobre 2024
FR001400QLF1
Phoenix Mémoire Eurostoxx 5A Avril 2024
FR001400Q0D9
Duo Rendement Semestriel Septembre 2024
FR001400QEI0
Phoenix Transatlantique Septembre 2024
FR001400QHL7
Opportunité Transatlatique Septembre 2024
FR001400QQ63
10Y Athena on EUR CMS 10Y
XS2788744782
Callable Taux Fixe BNP Paribas Septembre 2034
FR001400QU83
1M EURUSD Dual Currency Certificate
XS2794966718
KS Steepener Août 2024
FR001400QRB7
Rendement BNP D3.25 Août 2024
FR001400QTC1
Phoenix CMS Ouest Septembre 2024
FR001400QV58
Opportunité France Septembre 2024
FR001400QV33
Phoenix Taux Mi-Septembre 2024
FR001400QYJ6
Yomoni Transparence 7
FR001400QLG9
Tremplin 2 2024
FR001400QVG8
Phoenix Mémoire Eurostoxx 5A Avril 2024
FR001400Q0D9
Athéna Quotidien Action STMicroelectronics NV Août 2029
FR001400QST7
Orthos Taux Octobre 2024
FR001400QUY3
Athéna Quotidien Action Compagnie Financière Richemont SA Août 2029
FR001400QSU5
Athéna Foncière Août 2024
FR001400QYM0
TITANS TECH-LUXE DEGRESSIF OCTOBRE 2024
FR001400R3T8
USD Underlying Interest Rate Securities due 11 June 2029
XS2782356617
Phoenix mémoire annuel 8 ans Euro Stoxx Banks
FR001400QLC8
PENTE RENDEMENT SEPTEMBRE 2024
FR001400QW81
Expertise Action Juin Septembre 2024
FR001400QUX5
Tarn Trimestriel Juin 2024
FR001400QJ88
Premium Taux 6
FR001400Q4B5
Leonard V - CMS 10 - Part CTO
FR001400R1Y2
Déglobalisation Rendement 2024
FR001400QVH6
Opportunité Taux Juillet 2024
FR001400QJC2
Phoenix Taux Juillet 2024 - Part G
FR001400Q7T0
Note Phoenix Taux Septembre 2024
FR001400PFB4
Rendement Semestriel Taux Septembre 2024
FR001400QEV3
D Rendement US Octobre 2024
FR001400R0J5
Complice Perspectives Novembre 2024
FR001400QDS1
TARN Defender Novembre 2024
FR001400QT60
Opportunité Top Sectors Titans Décembre 2024
FR001400R8T7
Phoenix Mémoire Eurostoxx 50 Juin 2024
FR001400R914
Perspective Septembre 2024
FR001400QTD9
Athéna Annuel 8 ans SX5E
FR001400R0N7
Athéna Semestriel Strike Min Juillet 2024
FR001400R9X7
Athéna Annuel 8 ans CAC® 40
FR001400R0V0
Phoenix Taux Novembre 2024
FR001400R8Z4
Opportunité Eurozone Octobre 2024
FR001400R9Z2
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 22 December 2036
FR001400RA03
D RENDEMENT ENGIE DIVIDENDE FIXE 0.95€ DEC 2024
FR001400RAU1
D RENDEMENT BOUYGUES DIVIDENDE FIXE 1.70€ OCT 24
FR001400RBK0
TCHANQUE 1
FR001400R5T3
Opportunité Zone Euro Décembre 2024
FR001400RBL8
Stratégie Patrimoine S Novembre 2024
FR001400RGS2
Opportunité Transatlantique Top Secteurs Novembre 2024 - Part B
FR001400RIR0
Opportunité Transatlantique Top Secteurs Novembre 2024 - Part A
EI535RAZ
CAPDIX Patrimoine Décembre 2024
FR001400RDQ3
Athéna Daily FR Octobre 2024
FR001400RFC8
Europe Patrimoine Octobre 2024
FR001400REM0
Phoenix Mémoire Panier WOF sur AMZN, AVGO et PANW
XS2804833890
test
XS280483389
Maupiti Octobre 2024
FR001400RDP5
Phoenix Taux Mi-Décembre 2024 - Part B
FR001400RO15
Phoenix Taux Mi-Décembre 2024 Part A
FR001400RO31
Phoenix CMS Trim Novembre 2024
FR001400RIP4
1M EURUSD Dual Currency Certificate
XS2808811637
H absolu 58
FR001400QQ48
Phoenix Taux Mi-Décembre 2024 - Part C
FR001400RO23
VENUS 10 EUROSTOXX 50
FR001400RFD6
VENUS 9 SCHNEIDER
FR001400RFB0
SL - Athéna Oxygène Veolia Août 2024 USD
XS2811980502
Phoenix Taux Septembre 2024
XS2815493676
SL – PHOENIX MÉMOIRE PANIER WO JUILLET 2024 (5)
XS2856134007
Émeraude Taux Octobre 2024
FR001400RNX8
Phénix Semestriel sur Taux EUR 10 ans, T17
FR001400RPU9
Privilège Taux Novembre 2024
FR001400RR46
Privilège Action Crédit Agricole Dividende Fixe 0.9€ Octobre 2024
FR001400RTM8
SPC Mercedes Septembre 24
FR001400RTW7
Objectif Déglobalisation Dégressif Décembre 2024
FR001400RPV7
Objectif Déglobalisation Dégressif Décembre 2024 ? Part G
FR001400RPX3
Objectif Déglob Dégressif Octobre 2024
FR001400RPW5
1Y Autocallable Reverse Convertible Worst-of on Hermes International, Kering SA and Ralph Lauren Cor
XS2817258408
Autocall EAC PAM Top Sectors Titans Septembre 2024
FR001400RWB5
SL - ATHÉNA PANIER WO AOÛT 2024 (4)
XS2872146936
Opportunité Transatlantique Juillet 2024 (2)
FR001400RHN1
1M EURUSD Dual Currency Certificate
XS2817270791
100% Certificate Gold
FRBNPP07GLD4
Athéna Trimestriel Oxygène Action BNP Octobre 2024
FR001400RYW7
Athéna Trimestriel Transatlantic 50 SDG Novembre 2032
FR001400RLV6
Athéna Trimestriel Oxygène Action SG Octobre 2024
FR001400RZT0
BNP PARIBAS TAUX FIXE NOVEMBRE 2034
FR001400R4W0
Privilège Mensuel Octobre 2024
FR001400RV73
Rendement Taux Octobre 2024
FR001400RP71
ASAC-FAPES Phoenix 2024
FR001400RTN6
ASAC-FAPES Phoenix G 2024
FR001400RTI6
Acacia 13 Septembre 2024
FR001400RSP3
Stratégie Patrimoine C Novembre 2024
FR001400RY47
Athéna Actions BNP Stellantis Octobre 2024
FR001400RZU8
Athéna Actions SG Stellantis Octobre 2024
FR001400RYV9
Autocall EAC PAM Eurozone Titans Select Septembre 2024
FR001400S1E3
Athéna Privilège Mensuel Action UniCredit Octobre 2029
FR001400RR38
Athéna Quotidien action Tesla Inc octobre 2029
FR001400RON7
Athena Quotidien action Advanced Micro Devices Inc octobre 2029
FR001400ROM9
Cartusia 1 Action BNP Sept 2024
FR001400S3Q3
Privilège SoFrance Octobre 2024 Part N
FR001400RYS5
Privilège SoFrance Octobre 2024 Part A
FR001400RYT3
Athéna Dégressif Titanest Novembre 2024
FR001400S1G8
Phoenix CMS Trim 10Y Novembre 2024
FR001400S5D6
Etoile Opportunite Eurozone Novembre 2024
FR001400S5V8
M Ambition 6
FR001400RUF0
Phoenix CMS DS Novembre 2024
FR001400S7I1
Note Phoenix Taux Octobre 2024
FR001400RW98
Autocall EAC CO Top Sectors Titans Septembre 2024
FR001400S3J8
Phoenix Transat Septembre 2024
FR001400S508
Cartusia 2 Sept 2024
FR001400S4T5
Alternative Opportunité Transatlantic Sectors Août - Octobre 2024
FR001400S5H7
Reverse Bouygues 2 Ans Août 2024
XS2828421813
Capdix Janvier 2025
FR001400S4R9
Sphinx 14
FR001400SE24
USDEUR Dual Currency Certificate
XS2840453786
Tarn Defender Novembre 2024 (B)
FR001400SHK5
ASAC-FAPES Phoenix 2024
FR001400SB27
Phoenix Taux Semestriel Décembre 2024
FR001400SJ29
Autocall EUROZONE Octobre 2024
FR001400SK59
Premium Eurozone Titans Octobre 2024
FR001400SK67
Stratégie Europe 2024
FR001400SM08
Phoenix Rendement Novembre 2024
FR001400SCS9
Patrimoine Taux Janvier 2025
FR001400SM73
Finance Autocall CMS Novembre 2029
FR001400SHN9
Phoenix Taux Décembre 2024
FR001400RV65
E&P Novembre 2024 - Part G
FR001400SGY8
Phoenix CMS C Novembre 2024
FR001400SCT7
Phoenix CMS S Novembre 2024
FR001400SCR1
Phoenix Taux Janvier 2024
FR001400SHL3
Rendement Trimestriel Sectors Janvier 2025
FR001400SKB8
Émeraude Taux Novembre 2024
FR001400SIY4
Exigence 25
FR001400SIX6
Aliquis Luxe-Tech Degressif Novembre 2024
FR001400SNA4
Stratégie Patrimoine S Taux Décembre 2024
FR001400SRQ1
Privilege Eurozone Novembre 2024
FR001400SRP3
Mascaret 5
FR001400SRO6
Rendement Taux Décembre 2024
FR001400SSP1
Distribution IA Octobre 2024
FR001400SF49
Stratégie Patrimoine C Décembre 2024
FR001400ST84
Templiers III Decembre 2024
FR001400SM32
Premium Taux Octobre 2024
FR001400SSJ4
Phoenix CMS V Novembre 2024
FR001400SHB4
Distribution Banque Novembre 2024
FR001400SSR7
D Rendement Orange Défensif Octobre 2024
FR001400RGX2
Occitanie Taux 2024
FR001400SUU7
Opportunité CMS Mai 2025
FR001400SWW9
Placement Millésime Taux 2 Décembre 2024
FR001400SV98
Performance Luxe Tech 2024
FR001400SSS5
Baragnon 1 Taux CMS10
FR001400SUV5
Rendement LUCYA Décembre 2024
FR001400SXW7
Athéna Airbag Novembre 2024
FR001400SR52
Privilège Europe Trimestriel Février 2025
FR001400SWV1
CMS 10 ans Janvier 2025
FR001400SU24
Phoenix CMS Décembre 2024
FR001400SWE7
Autocall Eurozone Novembre 2024
FR001400SXY3
Note Phoenix Taux Décembre 2024
FR001400T076
Complice Perspectives Décembre 2024
FR001400SK26
Note Phoenix Taux CMS Décembre 2024
FR001400SW06
Phoenix Taux Europe Décembre 2024
FR001400SVH2
Opportunity 14 2030
FR001400SU32
Rendement LUCYA Février 2025
FR001400SXX5
Phoenix Mémoire Action Nvidia Octobre 2024
XS2836223714
Privilège Action Bouygues D 1.70
FR001400T1D4
Phoenix
FR001400T0A2
Decrescendo Énergie Décembre 2024 SK
FR001400T308
Premium Eurozone Titans Décembre 2024
FR001400T4I7
D Rendement US Décembre 2024
FR001400T7M2
Calliandra Autocall Mars 2031
XS2869906490
AE12
FR001400T4K3
EUR 30,000,000 Underlying Interest Rate-Linked Notes due 28 February 2037
FR001400T6I2
NexTaux CMS Mars 2025
FR001400T5G8
CMS Novembre 2024
FR001400T5J2
Autocall Eurozone Décembre 2024
FR001400T6H4
Rendement Euro CMS Décembre 2024
FR001400T068
Privilège Taux Janvier 2025
FR001400T225
Émeraude Taux janvier 2025
FR001400T4H9
Phoenix Autocall Taux Décembre 2024
FR001400TB42
Strategie Patrimoine S Taux Janvier 2025
FR001400T9L0
Stratégie Patrimoine A Taux Janvier 2025
FR001400T9N6
D Rendement Défensif Orange Dividende Fixe 0.70 Avril 2025
FR001400T7Z4
Decrescendo Énergie Europe Octobre 2024
XS2842327046
Rendement Taux Octobre 2024 - 1
FR001400T4J5
Athéna Mensuel Action Crédit Agricole SA Décembre 2029
FR001400SV64
Athéna Mensuel Action Crédit Agricole SA Novembre 2029
FR001400SV56
Proximité Taux Février 2025
FR001400TAU7
Sphinx 15
FR001400T985
Rendement Taux Octobre 2024 - 2
FR001400T4M9
CGPE V2 Rendement Taux 2024
FR001400T7X9
Phoenix CMS G Décembre 2024
FR001400T977
Phoenix CMS AP Décembre 2024
FR001400T7W1
BNP Paribas Neo Capital 2045
XS2759200533
Daily Oxygène Janvier 2025
FR001400T829
Phoenix In Fine Taux Mi-décembre 2024
FR001400TD73
Phoenix Taux Mars 2025
FR001400TEO2
Opportunité Patrimoine Rendement Mars 2025
FR001400TAV5
Phoenix Taux In Fine Décembre 2024 EUR
FR001400T2B6
Phoenix CMS Décembre 2024
FR001400TBZ4
Athena WO sur Actions Stellantis BNP Mars 2025
FR001400TBY7
Phoenix CMS Annuel Décembre 2024
XS2869875836
Phoenix Penida,
FR001400TH38
Phoenix CMS Aura Janvier 2025
FR001400TAM4
Phoenix AGP Décembre 2024
FR001400TCN8
Callable 10 ans EUR Décembre 2024
FR001400SZG5
Stratégie Taux 2025
FR001400TC17
Cap Energies 2024
FR001400TIR6
BNP Paribas Néo Capital 2030
XS2759202232
BNP Paribas Néo Capital 2031
XS2759202158
BNP Paribas Néo Capital 2032
XS2759202075
BNP Paribas Néo Capital 2033
XS2759201853
BNP Paribas Néo Capital 2034
XS2759201770
BNP Paribas Néo Capital 2035
XS2759201697
BNP Paribas Néo Capital 2036
XS2759201424
BNP Paribas Néo Capital 2037
XS2759201341
BNP Paribas Néo Capital 2038
XS2759201267
BNP Paribas Néo Capital 2039
XS2759201184
BNP Paribas Néo Capital 2040
XS2759201002
BNP Paribas Néo Capital 2041
XS2759200962
BNP Paribas Néo Capital 2042
XS2759200889
BNP Paribas Néo Capital 2043
XS2759200707
BNP Paribas Néo Capital 2044
XS2759200616
BNP Paribas Néo Capital 2046
XS2759200459
BNP Paribas Néo Capital 2047
XS2759200376
BNP Paribas Néo Capital 2048
XS2759200293
BNP Paribas Néo Capital 2049
XS2759200020
BNP Paribas Néo Capital 2050
XS2759199933
BNP Paribas Néo Capital 2051
XS2759199859
BNP Paribas Néo Capital 2052
XS2759199776
BNP Paribas Néo Capital 2053
XS2759199693
BNP Paribas Néo Capital 2054
XS2759199420
BNP Paribas Néo Capital 2055
XS2759199347
D Rendement Taux Octobre 2025
FR001400TEN4
Rendement Pharma Novembre 2024
FR001400TI60
Exigence 26
FR001400TMP2
Proximité Évolution Taux Janvier 2025
FR001400TIQ8
Goodvest Février 2025
FR001400T803
Opportunité Transatlantique Top Secteurs Décembre 2024
FR001400TGG3
Panorama Taux Mars 2025
FR001400TGF5
Phoenix Taux Janvier 2025
FR001400TDF2
Phoenix Mémoire Indice Bouygues 1,7 Octobre 2024
XS2821106791
Phoenix Taux In Fine Janvier 2025 C
FR001400TDA3
Phoenix Taux CMS G Décembre 2024
FR001400TD81
Alta Rendement 2024 - 2
XS2842340494
Athena Prime Transatlantic 50 SDG Janvier 2033
FR001400T5K0
Athena Mensuel Euro Stoxx Banks Décembre 2029
FR001400T4L1
EP Février 2025
FR001400TD99
Phoenix CMS DS Janvier 2025
FR001400TGK5
Starlight 100 Taux Euro Janvier 2033
FR001400T6G6
Liberi CMS Décembre 2024
FR001400TJT0
D Rendement Distribution Juillet 2025
FR001400TEM6
Phoenix CMS Progressif Janvier 2025
FR001400TKL5
Liberi CMS Décembre 2024
EI15650ACD
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 09 December 2031
FR001400TI86
Phoenix Taux Février 2025
FR001400TGJ7
Athéna Mensuel Indice Euro Stoxx Insurance Décembre 29
FR001400T7L4
Rendement Privé 8
FR001400TQP3
RepackApicil 6,20% Janvier 2025
FR001400TDE5
PhoenixMémoireSocialMondeSeptembre2024
FR001400SXS5
Privilège France Mensuel Décembre 2024
FR001400TGH1
Patrimoine Taux Mars 2025
FR001400TLJ7
Patrimoine Taux Mars 2025
FR001400TLJ7
Autocall Eurozone Décembre 2024
FR001400TJX2
Athéna WO ASML Total Energies Janvier 2025
FR001400TN48
Opportunité Solux21 Décembre 2024
FR001400TN22
Phoenix EURCMS10Y Octobre 2024
XS2863766650
AliquisTransatDégressifDécembre2024
FR001400TQN8
Europe Quotidien Decembre 2024
FR001400TLL3
Phoenix Trimestriel Horizon 2025
XS2883749025
Opportunité CMS EUR Janvier 2025
FR001400TS27
Crescendo
FR001400TO21
K Taux CMS Juillet 2025
FR001400TKT8
Phoenix Taux CMS Janvier 2025
FR001400TNA2
Perspectives Janvier 2031
FR001400T9A3
Opportunité Titans Select Décembre 2024
FR001400TD65
Deglobalisation 2024
FR001400TJW4
12Y EUR Phoenix on EUR CMS 10Y in EUR
XS2873871722
Stratégie Patrimoine S Indice Fevrier 2025
FR001400TUT7
Liberi CMS Fevrier 2025 IA
FR001400TUL4
Phoenix Europe Decembre 2024
FR001400TS19
Phoenix Mémoire Transatlantic 50 SDG Décembre 2029
XS2869920723
Note Phoenix Taux CMS Mars 2024
FR001400SVY7
Stratégie Patrimoine C Taux Février 2025
FR001400TQZ2
Athéna Mensuel Dégressif Total Veolia Décembre 29
FR001400TX46
Stratégie Patrimoine S Taux Février 2025
FR001400TX53
RendementPharma3
FR001400TRZ0
Phoenix CMS BM Décembre 2024
FR001400U207
Panorama Taux Mars 2025
FR001400U041
Opportunité Transatlantique Mars 2025
FR001400U470
CLN in Fine Tranche 5 -8 iTraxxMain S42 Novembre2024
XS2888305096
Finance Autocall CMS Février 2029
FR001400U8A2
Phoenix Taux CMS Janvier 2025
FR001400U033
Phoenix Rendement Février 2025
FR001400U223
Phoenix Taux Septembre 2024
FR001400QFW8
Tarn Defender Mars 2025
FR001400U9G7
Exigence 27
FR001400U9J1
Phoenix Rendement SA Décembre 2024
FR001400UAP5
Callable CMS 10 Ans EUR Février 2025
FR001400TTC5
Placement Millésime Ambition Mars 2025 - EI4920AVA
FR001400U9I3
Onyx TotalEnergies
FR001400UEM4
ADN Horizon Rendement Février 2025
FR001400UFZ3
ISAAC STEEPENER CALLABLE ANNUEL JANVIER 2025
FR001400UGI7
ISAAC STEEPENER CALLABLE IN FINE JANVIER 2025
FR001400UG69
Athéna Annuel 8ans SX5E
FR001400TWX5
Athéna Quotidien Transatlantique Février 2025
FR001400UJM3
Rendement Taux Mars 2025
FR001400UJK7
Athena SXEP
FR001400UHO3
Phoenix Mémoire 5Y Kering
FR001400UKO7
Phoenix Semestriel EUR CMS 10Y Mars 2025
FR001400UDG8
Participation Note Indice Metals Décembre 2024
XS2869894209
Opportunité US Titan Fev 2025
XS2638606082
NDC Convictions Avril 2025
FR001400UNW4
Phoenix CMS PA Janvier 2025
FR001400UH68
Phoenix Mémoire Indice Titan Transatlantique Décembre 2024
FR001400UPZ2
TARN Stratégie Taux Janvier 2025
FR001400UUD9
EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 30 April 2037
FR001400UUO6
D Rendement US Mars 2025
FR001400US16
Rendement Taux Trimestriel Janvier 2025
FR001400UUB3
Athéna Annuel 8 ans CAC
FR001400UUA5
Phoenix Taux Semestriel Mars 2025
FR001400UNP8
Opportunité Eurozone 12-2024
FR001400TUU5
Range Accrual 5 Ans
FR001400TLK5
Phoenix Taux Avril 2025 C
FR001400V0K7
EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 15 April 2037
FR001400V0J9
Privalto Privilège US 2025
FR001400V1A6
Athéna Dégressif Déglobalisation Mars
FR001400V411
Influence CMS Février 2025
FR001400UVU1
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 15 July 2037
FR001400V1Q2
Rita Février 2025
FR001400UYC3
Phoenix Taux FR Mars 2025 - Part SR
FR001400V1B4
Phoenix Taux FR Mars 2025
FR001400V1C2
Athena Prime SandP Eurozone Temperature Mars 2033
FR001400UCB1
BNP Paribas Objectif Rendement Mars 2035
FR001400U488
5Y 2M Phoenix Snowball on Ferrari NV in EUR
FR001400UG02
Issue of EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 25 February 2037
FR001400WJJ5
Privilège Taux Mars 2025
FR001400T1E2
Athéna Privilège Mensuel action Tesla Inc Mars 2030
FR001400UQ18
Athéna Quotidien Action Broadcom Mars 2028
FR001400UGW8
MPCFP Février 2025
FR001400U421
PRIVALTO PREMIUM US MARS 2025
FR001400WLR4
Rendement Trimestriel Taux Avril 2025
FR001400WM10
OLYMPE TAUX MARS 2025
FR001400WKU0
D RENDEMENT DÉGRESSIF BNP PARIBAS DIV 3,25 AVRIL 2025
OPPORTUNITÉ SÉLECTION PREMIUM FÉVRIER 2025
FR001400U9F9
KS PHARMA AVRIL 2025
FR001400UXH4
ATHÉNA SÉLECTION USA MARS 2025
FR001400V0I1
AUTOCALL MENSUEL DÉGRESSIF EUROPE 2025
FR001400WJ64
OPPORTUNITÉ EUROZONE FÉV 2025
XS2600435106
OPPORTUNITÉ TRANSAT SECTOR FÉV 2025
XS2649840506
D RENDEMENT ENGIE DIVIDENDE FIXE 0.95€ MARS 2025
FR001400UQP1
8Y ATHÉNA MENSUEL SÉRIE I SURLETITANESE NOV2024
XS2880936443
PHOENIX RENDEMENT JANVIER 2025
XS2869921614
ATHÉNA MENSUEL WO TOTAL VEOLIA MARS 2024
XS2442396334
PENTE PATRIMOINE DÉCEMBRE 2024
FR001400SZE0
AZUR SANTÉ PHARMA FÉVRIER 2025
FR001400UUL2
Phoenix Taux Juin 2025
FR001400WO59
Phoenix Mémoire Indice US Janvier 2025
XS2924672657
Note Taux Phoenix CMS G Mars 2025
FR001400WLS2
Rendement Trimestriel Taux Avril 2025
FR001400WM28
Rendement Premium Transatlantique Mars 2025
FR001400WKW6
Rendement Taux Mars 2025
FR001400WKC8
EI6488ETB - Phoenix Mémoire 5Y Porsche SE
FR001400WP74
OPPORTUNITÉ PATRIMOINE RENDEMENT JUIN 2025
FR001400WN50
Distribution CMS Mars 2025
FR001400WQ99
Orthos 2
FR001400WNL3
E&P Juin 202
FR001400WP82
Stratégie Patrimoine C Taux Mai 2025
FR001400WO42
Digit CMS Mars 2025
FR001400WQE1
Rendement Taux Février 2025
FR001400WR98
PRIVILÈGE US MENSUEL MARS 2025
FR001400WPG8
10Y Phoenix on EU_SOLUX21 in EUR
FR001400V0L5
Opportunity152033
FR001400WSH0
Opportunity 16 2035
FR001400WSL2
D Rendement US Juin 2025
FR001400WQ81
ALTERNATIVE US JANVIER MARS 2025
FR001400WVB7
D Rendement Taux Mai 2025
FR001400WQ65
Capdix Patrimoine Juin 2025
FR001400WNA6
EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 17 March 2037
FR001400WSF4
Etoile Opportunité US Avril 2025
FR001400WRQ3
Issue of EUR 30,000,000 Underlying Interest Rate Securities due 14 March 2030
FR001400UUP3
Capdix Patrimoine Mai 2025
FR001400WN43
Issue of EUR 30,000,000 Underlying Interest Rate Securities due 14 March 2030
FR001400UUK4
Omega Bear Taux 2025
FR001400WNM1
MNA 01 AVRIL 2025
FR001400WRM2
Phoenix Mémoire Fast Trimestriel Panier WO Janvier 2025
XS2982345568
PHOENIX RENDEMENT AVRIL 2025
FR001400WQG6
Stratégie Patrimoine S Taux Mai 2025
FR001400WQC5
Issue of EUR 30,000,000 Callable Underlying Interest Rate Linked Interest Notes due 23 May 2035
FR001400WR80
Premium Taux 2025
FR001400WTR7
Opportunité Titan US Mars 2025
FR001400WN68
PROXIMITÉ TAUX AOÛT 2025
FR001400WQ73
KS Pharma Mai 2025
FR001400WSZ2
Rendement Taux Mars 2025
FR001400WR56
Phoenix Mémoire Indice Actions US Janvier 2025
XS2902295885
Phoenix Taux Juillet 2025
FR001400WT05
Proximité Taux Septembre 2025
FR001400WQ57
MPCFP Mai 2025
FR001400WRL4
Rendement Trimestriel US Mars 2025
FR001400WTO4
RENDEMENT LUCYA JUILLET 2025
FR001400WPH6
RENDEMENT LUCYA SEPTEMBRE 2025
FR001400WPE3
Phoenix EAC LU Taux CMS 10 Trim Janvier 2025
FR001400WXK4
Conservateur Autocall Perspectives 40
FR001400WXI8
RENDEMENT LUCYA NOVEMBRE 2025
FR001400WPD5
RENDEMENT LUCYA DÉCEMBRE 2025
FR001400WPB9
Rendement Taux Juin 2026
FR001400X094
PHOENIX RENDEMENT MARS 2025
XS2936353668
GWS Phoenix IA Mars 2025
FR001400WXA5
10Y Athena on EUR, EU_SOKTRANS in EUR
FR001400WTS5
GWS Intelligence Artificielle Autocall Avril 2025
FR001400WXZ2
PG PHOENIX MEMOIRE TITAN US MARS 25
FR001400WYS5
Opportunité Déglobalisation Février 2025
FR001400X2L9
AE14
FR001400WZC6
Maratea Coupon Taux Trimestriel 2025 - 7
FR001400WV27
Conservateur Autocall Perspectives 50
FR001400WXP3
Conservateur Autocall Perspectives 60
FR001400WXJ6
Opportunité Taux 2025
FR001400WW91
AUTOCALL EAC LU US TITANS SÉLECTION FÉVRIER 2025
FR001400WYE5
Phoenix Rendement V Mai 2025
FR001400WXL2
PHOENIX MÉMOIRE WO SANOFI / BOUYGUES
XS2908240109
Phoenix Rendement G Mai 2025
FR001400WXM0
Phoenix HGP Avril 2025
FR001400WYH8
Conviction Mars 2025
FR001400WXC1
EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 27 April 2037
FR001400WR31
Stratégie Patrimoine A Taux Juillet 2025
FR001400WVZ6
TARN NC 4A Janvier 2025
XS2936351969
GWS Phoenix CMS Semestriel Mars 2025
XS2942768743
Alpha OAT Avril 2025
FR001400X0B4
PERSPECTIVES MARS 2025
FR001400X219
TAUX INGEF2I DÉCEMBRE
FR001400WZZ7
GWS Phoenix Trimestriel CMS Mars 2025
XS2942749446
Athena Dégressif Eurozone Juin 2025
FR001400X3T0
OPPORTUNITÉ US EUROPE LEADERS MAI 2025 -PART A
FR001400X6M8
OPPORTUNITÉ US EUROPE LEADERS MAI 2025 - Part B
FR001400X6N6
GWS Phoenix Trimestriel CMS Février 2025
XS2942762118
BEST TIMING MENSUEL NOVO NORDISK AVRIL 2025
FR001400X4O9
TAUX INGEF2I SEPTEMBRE
FR001400X003
OLYMPE TAUX AVRIL 2025
FR001400X0R0
8Y Athena on EURO STOXX 50¿ in EUR
FR001400WYA3
10Y 4M Athena on Bloomberg Luxury 2021 Decrement 50 point Index EUR in EUR
FR001400X6K2
Lotus 24 AppLovin Mars 2025
FR001400X3W4
OLYMPE PRESTIGE LEADERS MAI 2025 - PART B
FR001400X6O4
OPPORTUNITÉ BANCAIRE MARS 2025
FR001400X2M7
YPSI Juillet 2033
XS2927918016
Taux Fixe Callable USD Janvier 2025
XS2942731584
Patrimoine Taux Avril 2025
FR001400X3V6
OPPORTUNITÉ US TITAN MAI 2025
FR001400X235
PHOENIX MÉMOIRE WO SANOFI / BOUYGUES
XS2931447887
Goodvest Juin 2025
FR001400X9Q3
PREMIUM AVRIL 2025
FR001400X5G2
Lotus 24 Coinbase Mars 2025
FR001400X3U8
Perspectives Mars 2025 Part A
FR001400XB12
Phoenix Taux Euro Avril 2025
FR001400X3X2
Olympe Transatlantique Avril 2025
FR001400X8T9
10Y 2M Autocallable Reverse Convertible on Bloomberg Eurozone Titans Select Decrement 5% Index in EU
FR001400XAA1
Opportunité Titans US Mai 2025
FR001400X9R1
10Y 3M Athena on Bloomberg Transatlantic Top Sectors Titans Fixed Basket D50 Pts Index in EUR
FR001400X037
Phoenix Taux Mai 2025
FR001400XDD9
Opportunité Transatlantique Pharma Avril 2025
FR001400XA13
Autocall US Titan Avril 2025
FR001400XC11
Athéna Dégressif sur UniCredit - 5Y
FR001400XBI2
Premium Juin 2025
ATHÉNA TITAN MARS 2025
FR001400XG09
Athéna Dégressif sur Stellantis - 5Y
FR001400XBF8
Eden 14
FR001400XG41
ATHÉNA DÉGRESSIF LOW STRIKE SUR SCOR - 5Y
FR001400XBG6
Phoenix Mémoire Transatlantique Février 2025
FR001400XEF2
GWS Phoenix Trimestriel TEC10 Mai 2025
FR001400XE92
Starlight 100 SandP Eurozone Temperature Mai 2031
FR001400X045
MKR - Performance Titans Transat
FR001400XGR2
Rendement Floater Euribor 3 mois Février 2025
XS2774094291
Callable CMS 10 ans Mars 2025
FR001400XKP8
PHOENIX MÉMOIRE 5Y INFINEON
FR001400XIZ1
Itinéraire Mai 2025
FR001400XJU0
Phoenix CMS Mai 2025
FR001400XLM3
Perspectives Bouygues Dividende Fixe 1,70 Avril 2025
FR001400XNO5
Phoenix TEC 10 PCI Mars 2025
Anaxago Performance I
FR001400XIM9
Rendement Taux Mai 2025
FR001400XNF3
Haumea 3
FR001400WR64
Care AP Sept 25
FR001400XLL5
Phoenix Mémoire Semestriel Nvidia Février 2025
Stratégie Taux Juin 2025
FR001400XQ31
PROXIMITÉ TAUX EUROPE JUIN 2025
FR001400XQ49
Athena Prestige Transatlantic Titans Select Mai 2033
FR001400X011
1Y Athena Worst-of on Constellation Energy Corp, First Solar Inc and GE Vernova LLC in USD
XS2942720207
MKR - Rendement Déglobalisation Avril 25
FR001400XNN7
Reverse Convertible Variable Février 2025
FR001400XKM5
Phoenix B Avril 2025
FR001400XQJ8
Athena Premium Euro STOXX Banks Mai 2030
FR001400XA05
Autocall CMS Mai 2025
FR001400XNG1
Phoenix Mémoire US Février 2025
FR001400XLO9
PARTICIPATION INDICE EUROPE FÉVRIER 2025
XS2927912241
K Phoenix OAT Avril 2025
Up to 3,000 EUR "6Y Athena" Certificates relating to Solactive Europe&US Semi Conductors AR 5% Index
FI4000586417
Up to SEK 30,000,000 Credit Linked Certificates on a tranche of the iTraxx Europe Crossover Series42
SE0023950563
Opportunité Taux Avril 2025
FR001400XTR5
8Y Athena on Bayerische Motoren Werke AG, BNP Paribas SA and LVMH Moet Hennessy Louis Vuitton SE in
FR001400XFX2
5Y 2M Athena on adidas AG in EUR
FR001400XEH8
5Y 2M Athena on Schneider Electric SE in EUR
FR001400XJD6
Izoard Mai 2025
FR001400XSS5
Phoenix CMS HY Avril 2025
FR001400XQB5
PREMIUM 19
Phoenix Taux Juin 2025 A
FR001400XR71
Phoenix Mémoire Semestriel sur Action Carrefour 2025
Phoenix Archipel Taux Mai 2025
FR001400XSQ9
Eden 11
FR001400XU01
Alternative Pharma Février Juin 2025
FR001400XWP3
PHOENIX TAUX AOÛT 2025
FR001400XXO4
Actions BNP Kering Mai 2025
FR001400XWQ1
BNP Paribas Objectif Rendement JUIN 2035
FR001400XNH9
Athéna Dégressif Pharma Juin 2025
FR001400XZ97
Phoenix EUR CMS 10Y Target
FR001400XRM0
Alpha US Avril 2024
FR001400Y2K0
Phoenix Mémoire Trimestriel Dégressif Deglobalisation Mai 2025
FR001400Y1Z0
Phenix Taux EUR Avril 2025
STRATEGIE PATRIMOINE C ACTION STELLANTIS JUIN 2025
FR001400Y3O0
D Rendement Dégressif Orange Div 0.70 Mai 2025
FR001400Y0M0
KS Septembre 2025 CMS
FR001400Y480
Taux Fixe Callable Février 2025
MNA 8 Part C
FR001400Y5H9
Autocall Titan Transat Avril 2025
EUR 30,000,000 Underlying Interest Rate Linked Interest Notes due 15 May 2037
FR001400XXN6
Phoenix Taux CMS Mai 2025
FR001400Y7Q6
Phoenix Trimestriel Taux Juin 2025 Privalto
FR001400Y605
Rendement Lucya Mai 2025
FR001400Y6D6
D Rendement US Juin 2025
FR001400Y456
Capdix Patrimoine Août 2025
FR001400Y7I3
Issue of up to SEK 30,000,000 Credit Linked Certificates with principal and interest at risk
SE0024194187
Opportunité Transatlantique Novembre 2025
FR001400Y5S6
IP Rendement Novembre 2025
XS2975818308
Phoenix Taux Euro CMS Juin 2025
FR001400Y688
STRATEGIE PATRIMOINE S TAUX JUIN 2025
MNA 5 Part S
FR001400Y6F1
Phoenix Taux Avril 2025 Part G
FR001400Y3P7
Rendement Taux Trimestriel Juin 2025
FR001400Y696
Alternative Taux Juin 2025
FR001400Y6N5
MNA 6 Part A
FR001400Y6B0
Phoenix Mémoire Indice PL Février 2025
XS2952038201
BPH Taux 2025
FR001400Y6Z9
GWS Phoenix trimestrielles CMS Juin 2025
XS2975824298
Athéna Pharma Juin 2025
FR001400Y9S8
GWS Phoenix Trimestrielles CMS Mai 2025
XS2975824371
Phoenix Taux CMS Juin 2025
FR001400Y7U8
Zion Juin 2025
Phoenix S Mai 2025
FR001400Y8K7
Autocall CMS Juin 2025 C
5Y ATHENA FULL UP TRIMESTRIEL ENGIE 15 MAI 2030 on Engie SA in EUR
XS2966738978
Placement Millésime Taux Juillet 2025
FR001400Y9V2
Acacia 16 BEAR CMS
FR001400Y803
Taux Ingef2I Juin 2025
FR001400WZY0
Rendement CMS Mai 2025
FR001400Y6V8
PHOENIX CMS 10 ANS JUIN 2025
FR001400Y712
D Rendement US Août 2025
FR001400Y6E4
Rendement CMS Avril 2025 CNP
FR001400YBC3
Rendement CMS Avril 2025
FR001400Y9A6
Phoenix Taux BPC Juillet 2025
FR001400Y6S4
Phoenix Taux Août 2025 - Part B
FR001400XXR7
CARE AP Juin 25
Phoenix Taux CMS Juillet 2025
FR001400YAI2
PHOENIX TAUX CMS JUILLET 2025
FR001400YB94
Rendement Taux Juillet 2025
Rendement Taux Juin 2025
FR001400YBA7
Rendement Taux 2025
FR001400YEB9
Rendement Taux Avril 2025 Part L
FR001400YE42
USD Callable Credit Linked Certificates refer DEUTSCHE BANK AKTIENGESELLSCHAFT due 8 January 2030
XS2979435885
Stratégie Taux Mai 2025
FR001400Y9U4
CSI 300 2028
FR001400Y9R0
Phoenix Trimestriel Taux Juillet 2025
SQUARE CMS Mai 2025
XS2981461937
Phoenix Mémoire Actions Avril 2025
XS2975804183
PHOENIX TRIMESTRIEL TAUX CMS JUIN 2025
FR001400YE34
Pelvoux A. Juin 2025
FR001400YCN8
EXCELTIS PATRIMOINE TAUX JUILLET 2025
Germany
Name
ISIN
Twin Win Certificates
NL0000643740
"Alpha Express Europa / USA II" Certificates
NL0000796423
Banken Garantie Zertifikat linked to Dow Jones EURO STOXX Banks Price Index
NL0000796795
Equity Return EUR Certificates relating to 3 Shares
XS0340721918
Up to 15,000 "Equity Yield" EUR Certificates relating to UBS AG Shares
XS0357335313
Up to 50,000 "European Financials Bonus" EUR Certificates relating to a Basket of Shares
NL0006268237
Up to 25,000 "Barrier Discount" EUR Certificates relating to 3 Shares
XS0358905999
Up to 25,000 "Equity Return" EUR Certificates relating to 3 Shares
XS0361448821
Up to 20,000 Alpha Div DAX EUR Certificates relating to 2 Indices
NL0006190555
Europa Zertifikat 11/08 - 11/11
DE000BN1ZLY3
5,000 "Reverse Convertible" Certificates in EUR relating to Allianz SE Shares due 3 February 2010
XS0410648389
5,000 "Reverse Convertible" Certificates in EUR related to France Telecom SA Shares due 15 February
xs0411963431
5,000 "Reverse Convertible" Certificates in EUR relating to BASF SE Shares due 3 March 2010
XS0413899666
4000 Reverse Convertible Certificates relating to Michelin Shares in EUR, due 28 June 2010
xs0434398714
"Lock-In Perles Plus" Certificate
XS0451135585
"Lock-In Perles Plus" Certificates relating to a Basket of 5 Indices and the iShares MSCI Emerging M
XS0453876665
Lock-In Perles Plus" Certificates relating to a Basket of 5 Indices and the iShares MSCI Emerging Ma
XS0453876079
Lock-In Perles Plus" Certificates relating to Dow Jones EuroStoxx50® Index
XS0453566712
Lookback PERLES
XS0457299070
5-year 100% Principal Protected Certificate linked to the performance of Carmignac Patrimoine in EUR
DE000BN3EU45
Lookback PERLES Certificates relating to Dow Jones EuroStoxx50® Index
XS0463292366
6,000 "Reverse Convertible Quanto" Certificates in EUR relating to Credit Suisse Group Shares due 26
XS0466671152
Up to 5,000 Leveraged Perle Plus Certificates in EUR relating to a Basket of Shares due 11 December
xs0469607344
30,000 "Coupon Return Express" Certificates in EUR relating to Dow Jones EuroStoxx 50 Index due 23 D
xs0472042596
5,000 "Leveraged Perles Plus Quanto" Certificates in EUR relating to a Basket of Shares due 28 Decem
xs0474251401
1,673 Lookback Perles Certificates in EUR relating to Dow Jones Euro Stoxx 50 Index due 22 January 2
xs0476848113
Up to 6,000 EUR "Reverse Convertible Quanto" Certificates relating to Petroleo Brasileiro SA Shares
XS0480138568
Up to 100,000 EUR "Spängler Europa AirbagBonus Zertifikat" relating to Dow Jones EURO STOXX 50® Inde
DE000BN38BP2
Up to EUR 5,000,000 Fund linked Certificates relating to a basket of Mutual Funds due 18 March 2015
de000bn3eyf6
Up to 15,000 Alpha Best Express Certificates relating to 2 Indices (EUR)
XS0278508550
Up to 100,000 "Aktienkorb Garantieanleihe 05/10 - 05/15" Certificates in EUR relating to 12 Shares d
DE000BN3EYM2
Up to 100,000 "Principal Protected" Certificates in EUR relating to a Basket of 16 Shares due 23 April 2018
DE000BN3EYZ4
Up to 100,000 S&P 500 Bonus Zertifkat 05/10 - 05/15 Certificates in USD relating to S&P 500 Index due 6 May 2015
DE000BN39J24
Up to 250,000 BBBank 7.25 Zinssammler Zertifikat in EUR relating to EuroStoxx 50 Index due 28 July 2014
XS0507139383
Up to 10,000 Certificates in EUR relating to a dynamic basket with a variable exposure to the BNP Paribas Flexinvest BRIC Index due 29 July 2016
DE000BN3E066
4,000 Reverse Convertible Certificates in EUR relating to the Share of GDF Suez due 26 July 2011
XS0526571566
4,000 Reverse Convertible Certificates in EUR relating to the Share of Bayer AG due 26 July 2011
XS0526569826
5,000 EUR "Reverse Convertible Quanto" Certificates relating to Petroleo Brasileiro S.A. - ADRs due 3 February 2012
XS0584931637
4,000 EUR "Bonus" Certificates relating to EuroStoxx50® Index due 8 July 2013
XS0588289479
Up to 200.000 EUR "Dynamic Basket" with Lock In and Fixed Coupon Certificates relating to BNP Paribas Oscillator Commodities EUR Excess Return Index due 1 june 2017.
DE000BN711S7
800,000 EUR “Europae V” Certificates relating to the Euro Stoxx50® Index due 4 January 2016
XS0654378990
3,000 EUR “Barrier Reverse Convertible” Certificates relating to the ICE Brent due 17 September 2012
XS0709976905
5,000 EUR "Reverse Convertible Quanto" Certificates relating to Brent Crude Oil due 11 November 2013
XS0774342835
5,000 EUR "Reverse Convertible Quanto" Certificates relating to Brent Crude Oil due 9 December 2013
XS0774254626
5,000 EUR "Reverse Convertible " Certificates relating to the EURO STOXX 50® Index due 22 December 2
XS0774298839
5,000 EUR "Reverse Convertible" Certificates relating to Deutsche Bank AG Shares due 25 July 2014
XS0843557983
5,000 EUR "Reverse Convertible" Certificates relating to the EURO STOXX 50® Index due 24 August 2015
XS0842650391
3,000 EUR "Reverse Convertible" Certificates relating to the EURO STOXX 50® Index due 18 September 2
XS0842607896
2,000 EUR "Barrier Reverse Convertible" Certificates relating to AXA S.A. Shares due 6 October 2014
XS0842590399
3,000 EUR "Reverse Convertible" Certificates relating to the EURO STOXX 50® Index due 6 November 201
XS0877221399
2,000 EUR "Reverse Convertible" Certificates relating to Deutsche Bank Shares due 17 November 2014
XS0877202092
2,000 EUR "Reverse Convertible" Certificates relating to ThyssenKrupp AG Shares due 24 November 2014
XS0877102201
3,000 EUR "Call Spread Quanto" Certificates relating to a Basket of 4 Shares due 29 May 2019
3,000 EUR "Reverse Convertible" Certificates relating to the DAX® Index due 24 May 2016
XS0877127703
5,000 EUR "Call " Certificates relating to the EURO STOXX 50® Index
XS1061078405
Aktienanleihe Classic auf RWE AG
DE000PN99E87
5Y 6M 110% Kapitalschutz Plus mit Cap auf Nestle SA in EUR
DE000PC990D6
Express Kupon Zertifikat auf Siemens Energy AG
DE000PC99284
Express Bonus Zertifikat auf MSCI World Quality Innovation Select 50 Decrement 5% (EUR) Index in EUR
DE000PC99EL0
Memory Express Kupon Zertifikat auf ING Groep NV
DE000PC99EY3
5 Year Certificate linked to Diapason L/S Agriculure Commodity Index
Greece
Name
ISIN
KM Cube Skynet TR EUR
XS2799330365
Hungary
Name
ISIN
Zenith on New Frontier
XS0329294515
Up to 20,000 “Snowball” EUR Certificates relating to a Basket of Shares
XS0348157396
Up to 20,000 “Snowball” HUF Certificates relating to a Basket of Shares
XS0348120121
“Autocallable” USD Certificates relating to 4 Commodity Indices
XS0350165204