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BNP Paribas — Capital/Financing Update 2019
May 9, 2019
1158_rns_2019-05-09_a2d109b8-7a37-4dc9-854d-4e144f768411.pdf
Capital/Financing Update
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NOTICE dated 7 May 2019 (cancelling and replacing previous Notice dated 30 April 2019) in relation to the FINAL TERMS dated 1 April 2019
NOTICE TO HOLDERS OF:
BNP PARIBAS
Issue of up to USD 3,150,000 Fixed Rate with Custom Index Linked Redemption Notes
to the Ethical Europe Equity Index due 30 April 2024
Series 17958 - ISIN XS1968857901
(the Notes) under the EUR90,000,000,000 Euro Medium Term Note Programme of BNP Paribas
Issue Date: 30 April 2019
The Notice is to be read in conjunction with the FINAL TERMS dated 1 April 2019, the Base Prospectus dated 5 July 2018 and the Supplements to the Base Prospectus dated 6 August 2018, 9 November 2018, 14 February 2019 and 18 March 2019.
Please note that the Aggregate Nominal Amount is USD 3,146,000.00 and
the Underlying Reference Strike Price on 23 April 2019 is 167.064.
Signed on behalf of the Issuer:
By:
Duly authorised
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