Bond BNP Paribas SA 2.25% ( XS1014704586 ) in EUR
Issuer | BNP Paribas SA | ||
Market price | 100 % ▼ | ||
Country | ![]() |
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ISIN code |
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Interest rate | 2.25% per year ( payment 1 time a year) | ||
Maturity | 12/01/2021 - Bond has expired | ||
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Minimal amount | 1 000 EUR | ||
Total amount | 1 250 000 000 EUR | ||
Detailed description |
BNP Paribas is a leading international banking group providing a wide range of financial services including retail banking, investment banking, asset management, and corporate and institutional banking to individuals, businesses, and governments worldwide. This financial article details a specific fixed-income instrument, identified by ISIN XS1014704586, which was issued by BNP Paribas, a globally recognized and highly influential banking and financial services institution headquartered in France. BNP Paribas stands as a cornerstone of the European financial landscape, renowned for its extensive operations across retail banking, corporate and institutional banking, and international financial services, serving a vast client base worldwide and maintaining a robust presence in capital markets. This particular bond, denominated in Euros (EUR), carried a fixed interest rate of 2.25%, with the total issuance size for this instrument being substantial, reaching EUR 1,250,000,000, and a minimum purchase size set at EUR 1,000, making it accessible to a range of investors. Payments for this bond were structured annually, with its maturity date firmly set for January 12, 2021. Critically, this obligation has reached its specified maturity date and has since been fully redeemed, confirming the return of capital to its holders at its par value, represented by its 100% market price at the time of redemption, thereby successfully concluding its lifecycle as a financial instrument. |