Bnp Paribas

45 bondsCorporate🇫🇷 FR🇳🇱 NL
Outstanding
Avg yield
Active bonds
32
13 matured
Currencies
USD
Countries
FR · NL

Maturity ladder

Active bonds by year of maturity

2026
5
2027
10
2028
8
2030
2
2031
5
2032
1
2035
1

All bonds

IdentifierNameCouponMaturityCcyCountryPriceYieldAs of
US05565AAR41Bnp Paribas 4.375% 05/20264.375%2026-05-12USD🇫🇷FR
XS1748456974Bnp Paribas 1.13% 06/20261.130%2026-06-11🇫🇷FR
XS3053714757Bnp Paribas 0% 07/20260.000%2026-07-01USD🇫🇷FR
FR0013444759Bnp Paribas 0.13% 09/20260.130%2026-09-04🇫🇷FR
XS1378880253Bnp Paribas 2.88% 10/20262.880%2026-10-01🇫🇷FR
US09659W2N34Bnp Paribas 1.323% 01/20271.323%2027-01-13USD🇫🇷FR
US09659X2N16Bnp Paribas 1.323% 01/20271.323%2027-01-13USD🇫🇷FR
FR0013398070Bnp Paribas 2.125% 01/20272.125%2027-01-23🇫🇷FR
XS1485725854Bnp Paribas 4.625% 03/20274.625%2027-03-09🇫🇷FR
US05581KAC53Bnp Paribas 4.625% 03/20274.625%2027-03-13USD🇫🇷FR
US05581LAC37Bnp Paribas 4.625% 03/20274.625%2027-03-13USD🇫🇷FR
FR00140005J1Bnp Paribas 0.38% 10/20270.380%2027-10-14🇫🇷FR
US05565ADW09Bnp Paribas 5.13% 11/20275.130%2027-11-15USD🇫🇷FR
US05565AS207Bnp Paribas 9.25% 11/20279.250%2027-11-17USD🇫🇷FR
USF1067PAD80Bnp Paribas 9.25% 11/20279.250%2027-11-17USD🇫🇷FR
US09659X2S03Bnp Paribas 2.591% 01/20282.591%2028-01-20USD🇫🇷FR
FR0013484458Bnp Paribas 0.5% 02/20280.500%2028-02-19🇫🇷FR
FR0014008M32Bnp Paribas 3.695% 02/20283.695%2028-02-24🇫🇷FR
FR0014002J74Bnp Paribas 3.5% 03/20283.500%2028-03-29🇫🇷FR
US05565A5R02Bnp Paribas 8.5% 08/20288.500%2028-08-14USD🇫🇷FR
USF1067PAE63Bnp Paribas 8.5% 08/20288.500%2028-08-14USD🇫🇷FR
US05565AGF49Bnp Paribas 7% 08/20287.000%2028-08-16USD🇫🇷FR
US09659X2M33Bnp Paribas 1.904% 09/20281.904%2028-09-30USD🇫🇷FR
USF1R15XL274Bnp Paribas 4.5% 02/20304.500%2030-02-25USD🇫🇷FR
FR001400F2H9Bnp Paribas 7.375% 06/20307.375%2030-06-11🇫🇷FR
USF1R15XL357Bnp Paribas 4.625% 02/20314.625%2031-02-25USD🇫🇷FR
US05565ASK06Bnp Paribas 4.625% 02/20314.625%2031-02-25USD🇫🇷FR
FR0014003N10Bnp Paribas 2% 05/20312.000%2031-05-24🇫🇷FR
FR0013431277Bnp Paribas 0.016% 07/20310.016%2031-07-02🇫🇷FR
US05602XDJ46Bnp Paribas 8% 08/20318.000%2031-08-22USD🇫🇷FR
FR0014009HA0Bnp Paribas 2.5% 03/20322.500%2032-03-31🇫🇷FR
US09659X2W15Bnp Paribas 5.738% 02/20355.738%2035-02-20USD🇫🇷FR
US05581KAA97Bnp Paribas 4.375% 09/20254.375%2025-09-28USD🇫🇷FR
US05602XQQ42Bnp Paribas7.450%USD🇫🇷FR
US05565AM341Bnp Paribas 7.750%7.750%USD🇫🇷FR
US05602XJC39Bnp Paribas 7.375%7.375%USD🇫🇷FR
US05565AB286Bnp Paribas 4.625%4.625%USD🇫🇷FR
XS1325645825Bnp Paribas 2.75% 01/20262.750%2026-01-27🇫🇷FR
USF1067PAG12Bnp Paribas 7.375%7.375%USD🇫🇷FR
XS2902314850Bnp Paribas 0% 12/20250.000%2025-12-10USD🇫🇷FR
XS3166932965Bnp Paribas 153.79% 11/2025153.790%2025-11-17USD🇳🇱NL
XS3160315449Bnp Paribas 176.4% 11/2025176.400%2025-11-14USD🇫🇷FR
XS3153617025Bnp Paribas 217.96% 11/2025217.960%2025-11-12USD🇫🇷FR
XS3160351915Bnp Paribas 175.97% 11/2025175.970%2025-11-17USD🇫🇷FR
XS3160348960Bnp Paribas 113.11% 11/2025113.110%2025-11-18USD🇫🇷FR
Currency mix
USD31 · 69%
Issuing countries