BNPParibas 2% 27 12 2030
UnknownFR0013353117
IssuerBNP Paribas
Issuer LEIR0MUWSFPU8MPRO8K5P83
SeniorityUnknown
Classification basisFIRDS debt seniority field
Total issued nominalEUR 132m
CurrencyEUR
Coupon2%
Interest typeFixed rate
Maturity date2030-12-27 · 4.4y
First trade date2018-07-27
Nominal per unitEUR 100,000
CFIDTFUFB
Reference venue (MIC)XLUX
Trading venues1
StatusActive
First seen2026-07-19
Last seen2026-08-04
Other instruments from BNP Paribas
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| XS2276917270 | BNPParibas 29 12 2030 Swap Rate | UNK | Not disclosed | 2030-12-29 | USD 140m |
| US09659W2K94 | BNPP 3.052 01/13/31 '30 MTN | UNK | 3.052% | 2031-01-13 | USD 2,000m |
| XS0123523440 | BNPParibas 6 41% 23 01 2031 | UNK | 6.41% | 2031-01-23 | EUR 30m |
| XS1353623959 | BNPParibas 1 763% 29 01 2031 | UNK | 1.763% | 2031-01-29 | EUR 10m |
| XS2292486854 | BNPParibas 03 02 2031 Swap Rate | UNK | Not disclosed | 2031-02-03 | USD 50m |
| HK0001261962 | BNPParibas 2 43% 04 02 2031 | UNK | 2.43% | 2031-02-04 | CNY 500m |
| XS2293046749 | BNPParibas 04 02 2031 Swap Rate | UNK | Not disclosed | 2031-02-04 | USD 50m |
| XS3210038777 | BNPParibas 06 11 2030 EURO STOXX 50 Index | UNK | 0% | 2030-11-06 | EUR 11m |
XS2276917270BNPParibas 29 12 2030 Swap Rate
US09659W2K94BNPP 3.052 01/13/31 '30 MTN
XS0123523440BNPParibas 6 41% 23 01 2031
XS1353623959BNPParibas 1 763% 29 01 2031
XS2292486854BNPParibas 03 02 2031 Swap Rate
HK0001261962BNPParibas 2 43% 04 02 2031
XS2293046749BNPParibas 04 02 2031 Swap Rate
XS3210038777BNPParibas 06 11 2030 EURO STOXX 50 Index