Instrument Reference Data

Issuer BNP PARIBAS ISSUANCE B.V.
Marketing Name PUT SPREAD
Marketing Product Name Put Warrant Spread
Segment quotation Strutturati/Esotici
ACEPI Class Leverage Instruments
ACEPI Type Covered Warrant
Kind Put
Directionality Short
ESG ACEPI N.A.
Underlying FTSE MIB INDEX
Strike 35,000.00
Initial Value N.A.
Interest % N.A.
Cap N.A.
Cap % N.A.
Floor 35,000
Floor % N.A.
Coupon N.A.
Commission % N.A.
*For more details refer to the final terms
Isin Code NLBNPIT2PF80
Alphanumeric Code P2PF80
Denomination BPA CW PUT SPR FTSE MIB I 35000 E 231225

 
Date Begin Trading 25/07/10
Expiry Date 25/12/23
Last Day Trading 25/12/18
Entitlement/Multiplier 10,000.00
Notional Amount
Amount 1,000,000
Quanto No
Autocallable No
Final Evaluation Date 25/12/19
Capital Barrier % N.A.
Coupon Barrier % N.A.
Autocall Barrier % N.A.
Lower Threshold N.A.
Upper Threshold N.A.
Payoff Altering Barrier % N.A.
Legenda

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All Financial Data concerning the Structured/Exotics BPA CW PUT SPR FTSE MIB I 35000 E 231225


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