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BNP Paribas

Capital/Financing Update Oct 13, 2025

1158_rns_2025-10-13_aa212d8f-a130-4ccd-a71d-4f73f35b635f.pdf

Capital/Financing Update

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NOTICE dated 13 October 2025

BNP Paribas Issuance B.V.

(incorporated in The Netherlands) (as Issuer)

Legal entity identifier (LEI): 7245009UXRIGIRYOBR48

BNP Paribas

(incorporated in France) (as Guarantor)

Legal entity identifier (LEI): R0MUWSFPU8MPRO8K5P83

Up to 5,000,000 Reverse Convertible Certificates linked to a Basket of Indices due 13 October 2031

CE21398AMO – ISIN: XS3087461607

under the UK Certificate Programme of BNP Paribas Issuance B.V. and BNP Paribas

Issue Date: 13 October 2025

This notice should be read in conjunction with the Final Terms dated 13 August 2025 in respect of the Securities.

In connection with the public offer of the Securities that took place in the United Kingdom from and including 13 August 2025 to and including 6 October 2025, the number of Securities to be issued is 405,051.

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