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Admission prospectus
Register dateRegister numberName of the issuerprospectusFact sheetProspectusnominal valueISINAdmission to regulated market
13/02/2014 77182 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAU= 1200.0 USD 100.0/1 19/12/14570,000 NL0010619466 Ma Ba
13/02/2014 77181 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAU= 1200.0 USD 100.0/1 20/06/14415,000 NL0010619458 Ma Ba
13/02/2014 77180 BNP PARIBAS ISSUANCE, B.V. WARRANT Put XAG= 18.5 USD 5.0/1 20/06/1485,000 NL0010619441 Ma Ba
13/02/2014 77179 BNP PARIBAS ISSUANCE, B.V. WARRANT Put XAG= 18.0 USD 5.0/1 19/09/14100,000 NL0010619433 Ma Ba
13/02/2014 77178 BNP PARIBAS ISSUANCE, B.V. WARRANT Put XAG= 17.5 USD 5.0/1 19/12/14105,000 NL0010619425 Ma Ba
13/02/2014 77177 BNP PARIBAS ISSUANCE, B.V. WARRANT Put XAG= 17.5 USD 5.0/1 20/06/1455,000 NL0010619417 Ma Ba
13/02/2014 77176 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAG= 21.5 USD 5.0/1 19/09/1470,000 NL0010619409 Ma Ba
13/02/2014 77175 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAG= 20.5 USD 5.0/1 20/06/1465,000 NL0010619391 Ma Ba
13/02/2014 77174 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAG= 20.0 USD 5.0/1 19/12/14130,000 NL0010619383 Ma Ba
13/02/2014 77173 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAG= 20.0 USD 5.0/1 19/09/14105,000 NL0010619375 Ma Ba
13/02/2014 77172 BNP PARIBAS ISSUANCE, B.V. WARRANT Call XAG= 19.5 USD 5.0/1 20/06/1490,000 NL0010619367 Ma Ba
13/02/2014 77171 BNP PARIBAS ISSUANCE, B.V. WARRANT Put EUR= 1.36 USD 0.1/1 19/12/14530,000 NL0010619359 Ma Ba
13/02/2014 77170 BNP PARIBAS ISSUANCE, B.V. WARRANT Put EUR= 1.36 USD 0.1/1 20/06/14355,000 NL0010619342 Ma Ba
13/02/2014 77169 BNP PARIBAS ISSUANCE, B.V. WARRANT Put EUR= 1.34 USD 0.1/1 19/09/14410,000 NL0010619334 Ma Ba
13/02/2014 77168 BNP PARIBAS ISSUANCE, B.V. WARRANT Put EUR= 1.32 USD 0.1/1 19/12/14450,000 NL0010619326 Ma Ba
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