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BNP Paribas — Capital/Financing Update 2017
May 25, 2017
1158_rns_2017-05-25_266d9984-338e-4473-83bd-19a41f53ef46.pdf
Capital/Financing Update
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NOTICE dated 24 May 2017
BNP PARIBAS
Issue of up to EUR 5,000,000
Index Linked Redemption Notes due May 2022
Series 18168 - ISIN XS1603467793
under the EUR90,000,000,000 Euro Medium Term Note Programme of BNP Paribas
Issue Date: 26 May 2017
This Notice is to be read in conjunction with the Final Terms dated 1 May 2017.
The Nominal Amount is EUR 1,500,000. The Issue Price is 100%. The Underlying Reference Strike Price is 3,587.01.
Signed on behalf of the Issuer:
By: Magneti
Duly authorised
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