COMMUNIQUÉ DE PRESSE

par CREDIT COOPERATIF

Final Offer Price Notification ISIN XS3119371972

Classification : Internal

Final Offer Price Notification in accordance with article 17 of the Prospectus Regulation (EU) 2017/1129

ISIN : XS3119371972

Legal documentation: Base Prospectus for the Issue of Unsubordinated Notes of BNP Paribas Issuance B.V., dated du 27 May 2025 and approved by the Autorité des Marchés Financiers (AMF) under number 25-184 together with its Supplements available at https://rates-globalmarkets.bnpparibas.com/documents/legaldocs/resourceindex.htm and the Final Terms dated 6 October 2025.

The Final Terms dated 6 October 2025 have been filed with the AMF.

Subscription dateFinal offer price (in EUR)Aggregate nominal amount (EUR)
01 Apr 20260,6088-3 000,00
26-mars-260,60852 000,00
16-mars-260,61529 000,00
13-mars-260,612316 000,00
12-mars-260,615820 000,00
10-mars-260,621515 000,00
26 Feb 20260,63562 000,00
24 Feb 20260,632522 000,00
20 Feb 20260,630238 000,00
17 Feb 20260,63077 000,00
13 Feb 20260,629510 000,00
10 Feb 20260,62285 000,00
29-janv-260,617711 000,00
16-janv-260,62246 000,00
14-janv-260,6228 000,00
12-janv-260,622216 000,00
09-janv-260,61848 000,00
02-janv-260,607620 000,00
29 Dec 20250,613226 000,00
22 Dec 20250,60754 000,00
19 Dec 20250,60987 000,00
16 Dec 20250,61418 000,00
15 Dec 20250,615532 000,00
11 Dec 20250,618812 000,00
09 Dec 20250,6167323 000,00
08 Dec 20250,615864 000,00
05 Dec 20250,622215 000,00
04 Dec 20250,624818 000,00
02 Dec 20250,62314 000,00
01 Dec 20250,622820 000,00
28-nov-250,62763 000,00
27-nov-250,63168 000,00
26-nov-250,630375 000,00
25-nov-250,6313138 000,00
24-nov-250,628323 000,00
19-nov-250,626472 000,00
17-nov-250,6291121 000,00
12-nov-250,638429 000,00

Classification : Internal

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