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BNP Paribas Capital/Financing Update 2017

Aug 4, 2017

1158_rns_2017-08-04_58769d67-8316-48d0-8c82-b1030125253b.pdf

Capital/Financing Update

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NOTICE dated 3 August 2017

BNP PARIBAS

Issue of EUR [ nominal amount to be available after the Offer Period ] Share Linked Redemption Notes due 4 August 2022 Series 18246 - ISIN XS1632767551

(the « Notes »)

under the EUR90,000,000,000 Euro Medium Term Note Programme of BNP Paribas (the "Programme")

Issue Date: 4 August 2017

Please note that the Base Prospectus of the Programme has been updated on 2 August 2017 and is available on the AMF website www.amf-france.org https://ratesand globalmarkets.bnpparibas.com/gm/Public/LegalDocs.aspx.

This Notice is to be read in conjunction with the signed Final Terms dated 3 July 2017, the Base Prospectus dated 9 December 2016 and the Supplements to the Base Prospectus dated 8 February 2017, 27 March 2017 and 5 May 2017 as well as the Base Prospectus dated 2 August 2017.

The Issue Prices is 100%. The Nominal Amount is EUR 1,500,000. The Underlying Reference Strike Price means 4.730.

Signed on behalf of the Issuer:

$By:$

Duly authorised