EXCHANGE NOTICE 2026-03-03 STRUCTURED BONDS (Record Id 338738)
1 structured bond(s) issued by BNP Paribas Issuance B.V. will be admitted to trading with effect from 2026-03-04. Last day of trading is set to 2031-02-19. The instrument(s) will be traded on STO Structured Products.Please find instrument identifiers in the attached document.
Nasdaq Stockholm AB, Issuer Surveillance, dl-ilasto@nasdaq.com, 46 8 405 7280