Banking Resolution

Instruments

Every debt instrument issued by the banks in the tracked universe, classified by where it sits in the creditor hierarchy. Filter the set, then export exactly what you filtered.

Issuance by year and seniority

EUR-denominated, EURm, capital-stack classes only

EUR-denominated issuance by first trade date, stacked by seniority class, 2000–2026. The chart reflects whatever filters are applied; the instrument-by-instrument breakdown is below.

AT1
8,500EURm
Tier 2
36,788EURm
Senior Non-Preferred
4,213EURm
Senior Preferred
163,559EURm
All classes
213,059EURm

Instrument breakdown

One row per ISIN. Filters combine, and the URL carries them — a filtered view is shareable and the CSV export returns the same set.

Export CSV

Filtered to instruments issued by BNP Paribas.

693 instruments

FR001401A2A8BNPParibas 3 319% 22 07 2029
XS3450187607BNPParibas 06 01 2038 Swap Rate
XS3450187946BNPParibas 19 03 2035 Swap Rate
XS3450881480BNPParibas 24 12 2029 EURO STOXX Banks Index
XS3450883262BNPParibas 24 12 2032 Bkt of Indices
XS3450884310BNPParibas 25 02 2032 EURO STOXX 50 Index
FR0014019UT2BNPParibas FRN 21 07 2031
FR0014019VG7BNPParibas 5 43% 15 07 2036
FR0014018M14BNPParibas 10 07 2036 3 month EURIBOR
FR0014019RC4BNPParibas 5 37% 10 07 2036
FR0014019RE0BNPParibas 5 35% 10 07 2036
FR0014019TX6BNPPARIBAS FX 4.965% MAR32 NOK
DE000PM99VJ7BNP 0 08/06/31 SDRV
FR0014019HU7BNPParibas 5 41% 29 06 2036
US09659W3G73BNP 4.892 6/30 c29 (144a) BNP PARIBAS SA
FR0014019H36BNPParibas 6 05% 29 06 2046
FR0014019HL6BNPParibas 3 17% 29 06 2029
FR0014019HW3BNPParibas 5 38% 29 06 2036
US09659X3D25BNP 4.892 06/30/30 BOND
XS3255670823BNP 0 02/16/28
FR00140199V7BNPPARIBAS FX 4.002% JUN36 EUR
FR00140193T4BNPParibas 4 304% 12 06 2036
XS2986993033BNP 0 04/10/28 SDRV
XS3369661247BNP 0 06/06/29
FR0014018OF6BNPParibas 4 98% 22 05 2029
FR0014018ND3BNPParibas 4 92% 21 05 2029
XS3227683383BNP 0 01/31/28
FR0014018M22BNPParibas 2 15% 20 05 2029 Reg S
FR0014018M30BNPParibas 4 95% 20 05 2029
FR0014018MH6BNPParibas 6% 20 05 2046
FR0014018MK0BNPParibas 5 36% 20 05 2036
FR0014018L64BNPParibas 5 35% 19 05 2036
FR0014018L72BNPParibas 5 35% 19 05 2036 Reg S
XS3354169453BNP 0 05/20/27
FR0014017JS1BNPPARIBAS FX 3% APR29 EUR
XS2981491686BNP 0 04/03/28 SDRV
XS3354185228BNP 0 05/11/27 SDRV
FR0014018388BNPParibas 5 24% 24 04 2036
FR0014018230BNPParibas 5 21% 23 04 2036
FR0014018263BNPPARIBAS FR EUR3M+0.3% APR28 EUR
USF1067PAK24BNPP 7.200 Perp FRN
US05602XQS08BNPP 7.200 Perp FRN
XS3330160956BNPParibas 29 12 2028 BANCA MONTE DEI PASCHI SIENA
XS3057936471BNP 0 10/08/26 SDRV
XS3028949819BNP 0 07/12/28 SDRV
XS3287422334BNPParibas 18 03 2031 Bkt of Indices
FR00140177D1BNPParibas 3 12% 26 03 2031
JP525017CJ28BNP 0.69 02/28/28
FR0014017000BNPParibas 454 334 24 03 2056
HK0001277539BNPParibas 2 33% 25 03 2031