Return profile
Please see the final terms.
| ISIN: | XS2712394910 |
| Issuer: | BNP Paribas |
| Issue date: | 13.03.2024 |
| Maturity date: | 20.03.2031 |
| Currency : | EUR |
| Bid*:*Indicative value | 113.17 % |
| Date | Fortum 0.8 Div | Nordea 0.8 Div | UPM 1.5 Div | % | ||
|---|---|---|---|---|---|---|
| Start Values | ||||||
| 06.03.2024 | 11.86 | 11.41 | 29.66 | |||
| Start Values(corrected) | 10.29 | 10.27 | 26.69 | |||
| End Values | ||||||
| 06.03.2025 | 15.35 | 13.01 | 28.04 | 16 | ||
| 06.03.2026 | 20.52 | 16.37 | 26.35 | 16 | ||
| 08.03.2027 | ||||||
| 06.03.2028 | ||||||
| 06.03.2029 | ||||||
| 06.03.2030 | ||||||
| 06.03.2031 | ||||||
| Change from Start | 03.07.2026 | 21.31 | 18.32 | 23.19 | ||
| 107.01 % | 78.46 % | -13.13 % |