BNP6.3175%15NOV35BNP6.3175%15NOV35BNP6.3175%15NOV35

BNP6.3175%15NOV35

No trades
See on Supercharts

Key terms


Outstanding amount
‪400.00 M‬GBP
Face value
100,000.00GBP
Minimum denomination
Coupon
6.32% (Variable)
Coupon frequency
Annual
Yield to maturity
6.32%
Maturity date
Nov 15, 2035
Term to maturity
10 years

About BNP6.3175%15NOV35


Sector
Finance
Industry
Major Banks
Issue date
Jan 15, 2025
ISIN
FR001400WLI3
FIGI
BBG01RNZKM96
BNP Paribas SA engages in the provision of banking and financial services. The firm operates through the following business: Investment and Protection Services (IPS); Commercial, Personal Banking, and Services (CPBS); and Corporate and Institutional Banking (CIB). The Investment and Protection Services division covers Insurance (BNP?Paribas Cardif), Wealth and Asset Management (BNP?Paribas Asset Management, BNP?Paribas Wealth Management and BNP?Paribas Real Estate. The Commercial, Personal Banking, and Services division covers Commercial & Personal banking in the eurozone, with Commercial & Personal Banking in France (CPBF), Commercial & Personal Banking in Italy, Commercial & Personal Banking in Belgium (CPBB) and Commercial & Personal Banking in Luxembourg (CPBL); Commercial & Personal banking outside the eurozone. The Corporate and Institutional Banking covers Global Banking, Global Markets and Securities Services. The company was founded in 1822 and is headquartered in Paris, France.
Advanced bond data for paid plans
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.