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Please see the final terms.
ISIN: | XS2354891710 |
Issuer: | BNP Paribas |
Issue date: | 23.03.2022 |
Maturity date: | 07.01.2027 |
Currency : | EUR |
Credit Events: | |
Redemption Price: | 100 % |
Bid*:*Indicative value | 90.56 % |
Coupon payment dates | Coupon (p.a.)* *indicative |
|
---|---|---|
09.01.2023 | 4.4 % | |
08.01.2024 | 4.4 % | |
07.01.2025 | ||
07.01.2026 | ||
07.01.2027 |