Type instrument Warrants/Certificates

Markt Euronext Paris

Classification Financial Instrument

CFI:DTZSFB
D = Debt Instruments
T = Medium-term notes
Z = Zero rate/discounted
S = Secured
F = Fixed maturity
B = Bearer

Generieke informatie

Issuer Name BNP PARIBAS ARBITRAGE ISSUANCE
Product / Underlying type Stocks
Exercice Type European
Trading Type Continuous

Segments

Product Structured Note
Product Segment Yield enhancement

Trading information

Total number of Instruments 30 000
Issue price currency EUR
Strike price currency EUR
Second Strike price currency EUR
Settlement type Cash
Last exercice date 16/04/2024
Maturity 16/04/2024
Handelsgroep 4W
Trading Lot 1000
First trading date 16/04/2019