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Multi BNP PARIBAS ARBITRAGE ISSUANCE
Code / ISINUnderlyingTypeMaturity
(dd/mm/yyyy)
  


MULTI
CodeIssuerTypeMaturityClose PriceVolumeTurnoverLast PriceRatio /
Parity (*)
PriceDateLastDate
Underlying: EURO STOXX 50
Z0046BNPPARIBASCALL15/12/201718.7613/12/2017 20.2310/11/20171
Z0087BNPPARIBASCALL19/06/201989.4313/12/2017 91.4024/11/20171
Z0086BNPPARIBASCALL19/06/201996.1313/12/2017 90.5520/11/20171
Z0088BNPPARIBASPUT19/06/201999.4013/12/2017 -13/10/20171
Z0089BNPPARIBASPUT19/06/201995.5813/12/2017 -13/10/20171
Underlying: XETRA DAX INDEX
Z0044BNPPARIBASCALL15/12/201744.6413/12/2017903,960.0044.0014/12/20171
Z0079BNPPARIBASCALL19/06/2019101.7513/12/201720020,100.00100.5014/12/20171
Z0078BNPPARIBASCALL19/06/2019103.3013/12/2017 96.6520/11/20171
Z0081BNPPARIBASPUT19/06/201978.8013/12/2017 84.0007/12/20171
Z0080BNPPARIBASPUT19/06/201991.0513/12/2017 -13/10/20171
Underlying: IBEX 35
Z0063BNPPARIBASCALL15/12/2017253.2513/12/201720853,016.40253.6014/12/20171
Z0045BNPPARIBASCALL15/12/20170.2513/12/201710,6342,447.820.2314/12/20171
Z0082BNPPARIBASCALL19/06/201999.4513/12/2017 103.0008/12/20171
Z0083BNPPARIBASCALL19/06/201992.4313/12/201720018,870.0094.3514/12/20171
Z0084BNPPARIBASPUT19/06/201992.2313/12/2017 -13/10/20171
Z0085BNPPARIBASPUT19/06/201978.5013/12/2017 73.5508/12/20171
(*) Ratio / Parity: For further information, please refer to New Listing section.
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