Complete, always up-to-date list of BNP Paribas bonds outstanding: for each bond you get ISIN, coupon type, currency, maturity and trading venue. BNP Paribas is a banks issuer based in France; issues may come from the parent company or its financing entities. Data from the official EU register (FIRDS/ESMA), refreshed weekly. This page does not show market prices.
| Bond | ISIN | Type | Coupon | Currency | Maturity ↑ | Exchange |
|---|---|---|---|---|---|---|
| BNP PARIBAS/3.49 MTN 20270118 | FR001400N8L8 | Fixed rate | 3.49% | EUR | 2027-01-18 | Borsa del Lussemburgo |
| BNP PAR. FORT./0.01 MB 20270520 SR | BE0002700814 | Fixed rate | 0.01% | EUR | 2027-05-20 | Euronext Brussels |
| BNP PARIBAS/3.14 MTN 20270809 | FR001400S2H4 | Fixed rate | 3.14% | EUR | 2027-08-09 | Borsa del Lussemburgo |
| BnpParibasFor/ MTN 20271025 | XS3205725925 | Other | — | USD | 2027-10-25 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ 20271108 | XS3220972395 | Other | — | EUR | 2027-11-08 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ MTN 20271115 | XS3225832909 | Other | — | USD | 2027-11-15 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ MTN 20271122 | XS3229105922 | Other | — | EUR | 2027-11-22 | Borsa del Lussemburgo |
| BNP PAR. FORT./0.01 MB 20271210 SR | BE0002762434 | Fixed rate | 0.01% | EUR | 2027-12-10 | Börse Frankfurt · Euronext Brussels |
| BNP PARIBAS/3.4 MTN 20280106 | FR001400EUA9 | Fixed rate | 3.4% | EUR | 2028-01-06 | Borsa del Lussemburgo |
| BNP PARIBAS/2.4125 BD 20280113 SR | CH1227937716 | Fixed rate | 2.4125% | CHF | 2028-01-13 | not on a retail exchange |
| BNP PARIBAS/3.757 MTN 20280301 | FR001400G6R8 | Fixed rate | 3.757% | EUR | 2028-03-01 | Borsa del Lussemburgo |
| BNP PAR. FORT./0.875 MB 20280322 SR | BE0002586643 | Fixed rate | 0.875% | EUR | 2028-03-22 | Börse Düsseldorf · Börse Frankfurt +4 |
| BNP PAR. FORT./3.75 MB 20281030 SR | BE0002974559 | Fixed rate | 3.75% | EUR | 2028-10-30 | Börse Düsseldorf · Börse Frankfurt +5 |
| BNP PARIBAS/ 20290105 | XS2758928662 | Other | — | USD | 2029-01-05 | Borsa del Lussemburgo |
| BNP PAR. FORT./0.85 MB 20290225 SR | BE6312092115 | Fixed rate | 0.85% | EUR | 2029-02-25 | Euronext Brussels |
| BNP PAR. FORT./2.5 BD 20290905 SR | BE2141254760 | Fixed rate | 2.5% | EUR | 2029-09-05 | Euronext Brussels |
| BNP PARIBAS/4.21 MTN 20291025 | FR001400LLQ9 | Fixed rate | 4.21% | EUR | 2029-10-25 | Borsa del Lussemburgo |
| BNP PARIBAS/3.6 MTN 20300207 | FR001400FLP3 | Fixed rate | 3.6% | EUR | 2030-02-07 | Borsa del Lussemburgo |
| BNP PARIBAS/ MTN 20300228 | XS2988672817 | Other | — | EUR | 2030-02-28 | Borsa del Lussemburgo |
| BNP PARIBAS/ MTN 20300318 | FR001400YAW3 | Other | — | EUR | 2030-03-18 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ 20300404 | XS2998747450 | Other | — | EUR | 2030-04-04 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ 20300502 | XS3030523057 | Other | — | EUR | 2030-05-02 | Borsa del Lussemburgo |
| BNP PAR. FORT./0.07 MB 20300520 SR | BE0002701820 | Fixed rate | 0.07% | EUR | 2030-05-20 | Euronext Brussels |
| BNP PARIBAS/2.78 MTN 20300606 | XS3090104772 | Other | — | EUR | 2030-06-06 | Borsa del Lussemburgo |
| BNP PARI.ISS./3 MTN 20300710 | XS3106455085 | Fixed rate | 3% | EUR | 2030-07-10 | Borsa del Lussemburgo |
| BNP PARIBAS/3 MTN 20300813 | XS3147409802 | Fixed rate | 3% | EUR | 2030-08-13 | Borsa del Lussemburgo |
| BNP PARIBAS/0.685 MTN 20300826 | FR0013531753 | Fixed rate | 0.685% | EUR | 2030-08-26 | Borsa del Lussemburgo |
| BNP PARIBAS/3 MTN 20301029 | XS3215613574 | Other | — | EUR | 2030-10-29 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ 20301219 | XS3220970779 | Other | — | EUR | 2030-12-19 | Borsa del Lussemburgo |
| BNP FORTIS FUND/6.45 BD 20310127 | XS0123739533 | Fixed rate | 6.45% | EUR | 2031-01-27 | Borsa del Lussemburgo |
| BP0PCT19022031IDX | FR001400QC44 | Zero coupon | 0% | EUR | 2031-02-19 | Euronext Paris |
| BNP PARIBAS/ 20310318 | XS3287422334 | Other | — | USD | 2031-03-18 | Borsa del Lussemburgo |
| BNP PARIBAS/3.21 BD 20310326 | FR00140177D1 | Fixed rate | 3.12% | EUR | 2031-03-26 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ 20310707 | XS3368967462 | Other | — | EUR | 2031-07-07 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ MTN 20310707 | XS3368966571 | Other | — | EUR | 2031-07-07 | Borsa del Lussemburgo |
| BNP PAR. FORT./2.9 MB 20320129 SR | BE6359407879 | Fixed rate | 2.9% | EUR | 2032-01-29 | Euronext Brussels |
| BNP FORTIS FUND/ 20320330 | XS3285533173 | Other | — | EUR | 2032-03-30 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ZERO CPN MTN | XS3310384402 | Other | — | EUR | 2032-04-30 | Borsa del Lussemburgo |
| BNP FORTIS FUND/ZERO CPN MTN | XS3346944617 | Other | — | EUR | 2032-05-29 | Borsa del Lussemburgo |
| BNP PARIBAS/3 MTN 20320709 | XS3106718946 | Other | — | EUR | 2032-07-09 | Borsa del Lussemburgo |
| BNP PARIBAS/3.04 MTN 20320813 | XS3145638162 | Other | — | EUR | 2032-08-13 | Borsa del Lussemburgo |
| BNP PARIBAS/3 MTN 20321029 | XS3215614549 | Other | — | EUR | 2032-10-29 | Borsa del Lussemburgo |
| BNP PAR. FORT./2.84 MB 20330309 SR | BE6372380624 | Fixed rate | 2.84% | EUR | 2033-03-09 | Euronext Brussels |
| BNP PARIBAS/2.65 MTN 20330321 | FR001400GKK4 | Fixed rate | 2.65% | CHF | 2033-03-21 | Borsa del Lussemburgo |
| BNP PARIBAS/4.65 MTN 20331117 | FR001400LUU2 | Fixed rate | 4.65% | EUR | 2033-11-17 | Borsa del Lussemburgo |
| BNP PARIBAS/3.625 BD 20340520 | FR001400AJD4 | Fixed rate | 3.625% | EUR | 2034-05-20 | Euronext Paris |
| BNP PARIBAS/ZERO CPN MTN 20340621 | FR001400QMW4 | Zero coupon | 0% | EUR | 2034-06-21 | Borsa del Lussemburgo |
| BNP PARIBAS/ MTN 20340725 | XS2872146340 | Other | — | EUR | 2034-07-25 | Borsa del Lussemburgo |
| BNP PARIBAS/ MTN 20340725 | XS2872146936 | Other | — | EUR | 2034-07-25 | Borsa del Lussemburgo |
| BNP PARIBAS/ MTN 20340725 | XS2872146779 | Other | — | EUR | 2034-07-25 | Borsa del Lussemburgo |
| BNP PARIBAS/3.73 MTN 20340726 | FR001400RFN5 | Fixed rate | 3.73% | EUR | 2034-07-26 | Borsa del Lussemburgo |
| BNP PARIBAS/5 MTN 20340802 | FR001400QB45 | Other | — | EUR | 2034-08-02 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20340906 | FR001400QU83 | Zero coupon | 0% | EUR | 2034-09-06 | Borsa del Lussemburgo |
| BNP PAR. FORT./3.05 MB 20350129 SR | BE6359408885 | Fixed rate | 3.05% | EUR | 2035-01-29 | Euronext Brussels |
| BNP PARIBAS/ MTN 20350214 | XS2982345568 | Other | — | EUR | 2035-02-14 | Borsa del Lussemburgo |
| BNP PARIBAS/4.518 MTN 20360623 | FR001400ITK1 | Fixed rate | 4.518% | EUR | 2036-06-23 | Borsa del Lussemburgo |
| BNP PARIBAS/4.002 Bd 20360623 Sr | FR00140199V7 | Fixed rate | 4.002% | EUR | 2036-06-23 | Börse München · Börse Stuttgart +1 |
| BNP PARIBAS/5.41 MTN 20360629 SR | FR0014019HU7 | Fixed rate | 5.41% | USD | 2036-06-29 | Borsa del Lussemburgo |
| BNP PARIBAS/5.35 MTN 20360710 SR | FR0014019RE0 | Fixed rate | 5.35% | USD | 2036-07-10 | Borsa del Lussemburgo |
| BNPParibas/ MTN 20360710 | FR0014018M14 | Other | — | EUR | 2036-07-10 | Borsa del Lussemburgo |
| BNP PARIBAS/5.37 MTN 20360710 SR | FR0014019RC4 | Fixed rate | 5.37% | USD | 2036-07-10 | Borsa del Lussemburgo |
| BNP PARIBAS/FXD / FR GTD SUB NT | USF1058YHX97 | Variable rate | — | USD | 2037-06-29 | not on a retail exchange |
| BNP PARIBAS/ZERO CPN MTN 20370721 | FR0014011KC6 | Zero coupon | 0% | EUR | 2037-07-21 | Borsa del Lussemburgo |
| BNP PARIBAS SA/DBT 20390128 | FR0013398757 | Fixed rate | 3.34% | EUR | 2039-01-28 | Euronext Paris |
| BNP PARIBAS/ZERO CPN MTN 20390315 | FR001400OPA8 | Zero coupon | 0% | USD | 2039-03-15 | Borsa del Lussemburgo |
| BNP PARIBAS CAR/VAR BD 20410527 | FR0014018PQ0 | Variable rate | — | EUR | 2041-05-27 | Borsa del Lussemburgo · Börse Düsseldorf +1 |
| BNP PARIBAS/4.5 MTN 20420421 | FR001400H9J8 | Fixed rate | 4.5% | EUR | 2042-04-21 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20430526 | FR001400I2H6 | Zero coupon | 0% | USD | 2043-05-26 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20430915 | FR001400KKH2 | Zero coupon | 0% | USD | 2043-09-15 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20431124 | FR001400M4P9 | Zero coupon | 0% | USD | 2043-11-24 | Borsa del Lussemburgo |
| BNP PARIBAS/6.05 MTN 20460629 | FR0014019H36 | Fixed rate | 6.05% | USD | 2046-06-29 | Borsa del Lussemburgo |
| BNP PARIBAS CAR/VAR BD 20461127 | FR0014018PR8 | Variable rate | — | EUR | 2046-11-27 | Borsa del Lussemburgo · Börse Düsseldorf +2 |
| BNP PARIBAS/ZERO CPN MTN 20490724 | FR0013434909 | Zero coupon | 0% | USD | 2049-07-24 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20500611 | FR0013517489 | Zero coupon | 0% | USD | 2050-06-11 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20500612 | FR0013517786 | Zero coupon | 0% | USD | 2050-06-12 | Borsa del Lussemburgo |
| BNP PARIBAS/ZERO CPN MTN 20500623 | FR0013519717 | Zero coupon | 0% | USD | 2050-06-23 | Borsa del Lussemburgo |
| BNP PARIBAS/1.59 MTN 20510223 | FR0014002531 | Fixed rate | 1.59% | EUR | 2051-02-23 | Borsa del Lussemburgo |
| BNP PARIBAS/DBT | FR0010477125 | Fixed rate | 6.5% | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/DBT | FR0000047797 | Variable rate | — | EUR | 9999-12-31 | Euronext Paris |
| FORTIS BANQUE F/DBT | FR0000047839 | Variable rate | — | EUR | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/DBT | FR0000140063 | Variable rate | — | EUR | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/DBT | FR0000572646 | Variable rate | — | EUR | 9999-12-31 | Börse Frankfurt · Börse Hamburg +2 |
| BNP PARIBAS/VAR BD 21001231 | FR0014016B43 | Variable rate | — | EUR | 9999-12-31 | Borsa del Lussemburgo · Börse Düsseldorf +2 |
| BNP PARIBAS/VAR RATE NT PERP SU | US05565AHN63 | Variable rate | — | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/VAR RATE NT PERP SUB 14 | US05565ALQ49 | Variable rate | — | USD | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/7.75 NT PERP UNSEC | US05565AM341 | Fixed rate | 7.75% | USD | 9999-12-31 | Euronext Paris |
| UNKNOWN | USF1067PAH94 | Variable rate | — | USD | 9999-12-31 | Borsa del Lussemburgo · Börse Frankfurt +1 |
| BNP PARIBAS/VAR RATE NT PERP SUB | USF1R15XL274 | Variable rate | — | USD | 9999-12-31 | Börse Frankfurt · Börse München +2 |
| BNP PARIBAS/VAR BD 21001231 | FR001400BBL2 | Variable rate | — | EUR | 9999-12-31 | Borsa del Lussemburgo · Börse Düsseldorf +5 |
| BNPPARIBAS/DBT | FR0010638338 | Variable rate | — | EUR | 9999-12-31 | not on a retail exchange |
| BNP Float PERP | FR0008131403 | Variable rate | — | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/NT PERP UNSEC 144A | US05565ADW09 | Fixed rate | 5.125% | GBP | 9999-12-31 | not on a retail exchange |
| BNP 6.750 3/2022-49 (144a) | US05565ACA97 | Fixed rate | 6.75% | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/NT Perp Sub 144A | US05565AAQ67 | Fixed rate | 7.625% | USD | 9999-12-31 | not on a retail exchange |
| UNKNOWN | US05565AAN37 | Fixed rate | 7.375% | USD | 9999-12-31 | not on a retail exchange |
| BNP 7.195 6/25/49 (144a) | US05565AAB98 | Fixed rate | 7.195% | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/8.5 NT UNSEC 144A | US05565A5R02 | Fixed rate | 8.5% | USD | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/7 SR SUB NT PERP SR | USF1R15XK854 | Fixed rate | 7% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP PARIBAS/NT 2059 UNSEC | USF1067PAJ50 | Fixed rate | 6.875% | USD | 9999-12-31 | Borsa del Lussemburgo · Börse Frankfurt +2 |
| BNP PARIBAS/NT 2059 UNSEC | US05602XQR25 | Fixed rate | 6.875% | GBP | 9999-12-31 | Borsa del Lussemburgo |
| BNPPARIBAS/NTPERPSUB144A | US05565AGF49 | Fixed rate | 7% | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/DBT | FR0000047664 | Fixed rate | 3.751% | EUR | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/7.375 BD 21001231 | FR001400F2H9 | Fixed rate | 7.375% | EUR | 9999-12-31 | Borsa del Lussemburgo · Börse Düsseldorf +5 |
| BNP PARIBAS/4.625 NT PERP UNSEC | USF1R15XL357 | Fixed rate | 4.625% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP PARIBAS/4.625 NT PERP UNSEC | US05565ASK06 | Fixed rate | 4.625% | USD | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/4.625 NT 20491231 S | USF1067PAB25 | Fixed rate | 4.625% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP 7.450 12/2035-49 (144a) CO-CO | US05602XQQ42 | Other | — | GBP | 9999-12-31 | Borsa del Lussemburgo |
| BNP PARIBAS/4.625 NT 20491231 S | US05565AB286 | Fixed rate | 4.625% | USD | 9999-12-31 | Euronext Paris |
| BNP PARIBAS/7 BD 21001231 SR SUB | FR0014014MD4 | Fixed rate | 7% | GBP | 9999-12-31 | Borsa del Lussemburgo · Börse Frankfurt |
| BNP PARIBAS CAR/VAR BD 21001231 | FR00140196B5 | Variable rate | — | EUR | 9999-12-31 | Borsa del Lussemburgo · Börse Düsseldorf +3 |
| BNP PARIBAS/NT PERP UNSEC 144A | USF1R15XK698 | Fixed rate | 6.75% | USD | 9999-12-31 | Euronext Paris |
| BNP PARIBAS CAR/Var Bd 21001231 | FR0014013VP1 | Variable rate | — | EUR | 9999-12-31 | Borsa del Lussemburgo |
| BNP PARIBAS/NT PERP UNSEC REGS | USF1R15XK771 | Fixed rate | 5.125% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP 6.625 PERP | USF1R15XK938 | Fixed rate | 0% | USD | 9999-12-31 | not on a retail exchange |
| BNP 7.375 PERP | USF1R15XK367 | Fixed rate | 0% | USD | 9999-12-31 | not on a retail exchange |
| BNP PARIBAS/8.5 NT UNSEC REGS | USF1067PAE63 | Fixed rate | 8.5% | USD | 9999-12-31 | Börse Düsseldorf · Börse Frankfurt +2 |
| BNP PARIBAS/9.25 NT PERP UNSEC | USF1067PAD80 | Fixed rate | 9.25% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP PARIBAS/7.75 NT PERP UNSEC | USF1067PAC08 | Fixed rate | 7.75% | USD | 9999-12-31 | Börse Frankfurt · Börse Stuttgart +1 |
| BNP PARIBAS/9.25 NT PERP UNSEC | US05565AS207 | Fixed rate | 9.25% | USD | 9999-12-31 | Börse Frankfurt · Euronext Paris |
Right now the official EU register (FIRDS/ESMA) reports 119 not yet matured, issued by 4 group entities. The list refreshes weekly together with the register.
No. They are corporate bonds — loans to a company (BNP Paribas), not to a state. Risk and return depend on the issuer's credit standing, not a government's.
No. This is a registry — ISIN, coupon type, currency, maturity, venue — not a price list: prices change constantly and you'll see them at your broker. If you have a price, you can estimate the yield to maturity with the Rebalix calculator.
It's the 12-character international code that uniquely identifies each bond: using it with your broker avoids mix-ups between similarly named issues.
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