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Admission prospectus
Register dateRegister numberName of the issuerprospectusFact sheetProspectusnominal valueISINAdmission to regulated market
13/02/2014 77152 BNP PARIBAS ISSUANCE, B.V. WARRANT Put SAN.MC 6.5 EUR 2.0/1 19/12/14352,500 NL0010619169 Ma Ba
13/02/2014 77151 BNP PARIBAS ISSUANCE, B.V. WARRANT Put SAN.MC 6.0 EUR 2.0/1 19/12/14247,500 NL0010619151 Ma Ba
13/02/2014 77150 BNP PARIBAS ISSUANCE, B.V. WARRANT Put SAN.MC 6.0 EUR 2.0/1 19/06/14127,500 NL0010619144 Ma Ba
13/02/2014 77149 BNP PARIBAS ISSUANCE, B.V. WARRANT Put SAN.MC 5.8 EUR 2.0/1 19/09/14150,000 NL0010619136 Ma Ba
13/02/2014 77148 BNP PARIBAS ISSUANCE, B.V. WARRANT Put SAN.MC 5.5 EUR 2.0/1 19/12/14157,500 NL0010619128 Ma Ba
13/02/2014 77147 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 8.0 EUR 2.0/1 19/12/1437,500 NL0010619110 Ma Ba
13/02/2014 77146 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 7.5 EUR 2.0/1 19/12/1452,500 NL0010619102 Ma Ba
13/02/2014 77145 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 7.0 EUR 2.0/1 19/12/1490,000 NL0010619094 Ma Ba
13/02/2014 77144 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 7.0 EUR 2.0/1 20/06/1452,500 NL0010619086 Ma Ba
13/02/2014 77143 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 6.5 EUR 2.0/1 19/12/14142,500 NL0010619078 Ma Ba
13/02/2014 77142 BNP PARIBAS ISSUANCE, B.V. WARRANT Call SAN.MC 6.4 EUR 2.0/1 19/09/14142,500 NL0010619060 Ma Ba
13/02/2014 77141 BNP PARIBAS ISSUANCE, B.V. WARRANT Put ITX.MC 110.0 EUR 20.0/1 16/05/14112,000 NL0010619052 Ma Ba
13/02/2014 77140 BNP PARIBAS ISSUANCE, B.V. WARRANT Put ITX.MC 105.0 EUR 20.0/1 19/12/14164,000 NL0010619045 Ma Ba
13/02/2014 77139 BNP PARIBAS ISSUANCE, B.V. WARRANT Put ITX.MC 105.0 EUR 20.0/1 19/06/1488,000 NL0010619037 Ma Ba
13/02/2014 77138 BNP PARIBAS ISSUANCE, B.V. WARRANT Put ITX.MC 105.0 EUR 20.0/1 17/04/1448,000 NL0010619029 Ma Ba
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