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BNP Paribas bonds

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.

119 bonds outstanding · Parent domicile: France
Matures fromto119 bonds
BondISINTypeCouponCurrencyMaturityExchange
BNP PARIBAS/3.49 MTN 20270118FR001400N8L8Fixed rate3.49%EUR2027-01-18Borsa del Lussemburgo
BNP PAR. FORT./0.01 MB 20270520 SRBE0002700814Fixed rate0.01%EUR2027-05-20Euronext Brussels
BNP PARIBAS/3.14 MTN 20270809FR001400S2H4Fixed rate3.14%EUR2027-08-09Borsa del Lussemburgo
BnpParibasFor/ MTN 20271025XS3205725925OtherUSD2027-10-25Borsa del Lussemburgo
BNP FORTIS FUND/ 20271108XS3220972395OtherEUR2027-11-08Borsa del Lussemburgo
BNP FORTIS FUND/ MTN 20271115XS3225832909OtherUSD2027-11-15Borsa del Lussemburgo
BNP FORTIS FUND/ MTN 20271122XS3229105922OtherEUR2027-11-22Borsa del Lussemburgo
BNP PAR. FORT./0.01 MB 20271210 SRBE0002762434Fixed rate0.01%EUR2027-12-10Börse Frankfurt · Euronext Brussels
BNP PARIBAS/3.4 MTN 20280106FR001400EUA9Fixed rate3.4%EUR2028-01-06Borsa del Lussemburgo
BNP PARIBAS/2.4125 BD 20280113 SRCH1227937716Fixed rate2.4125%CHF2028-01-13not on a retail exchange
BNP PARIBAS/3.757 MTN 20280301FR001400G6R8Fixed rate3.757%EUR2028-03-01Borsa del Lussemburgo
BNP PAR. FORT./0.875 MB 20280322 SRBE0002586643Fixed rate0.875%EUR2028-03-22Börse Düsseldorf · Börse Frankfurt +4
BNP PAR. FORT./3.75 MB 20281030 SRBE0002974559Fixed rate3.75%EUR2028-10-30Börse Düsseldorf · Börse Frankfurt +5
BNP PARIBAS/ 20290105XS2758928662OtherUSD2029-01-05Borsa del Lussemburgo
BNP PAR. FORT./0.85 MB 20290225 SRBE6312092115Fixed rate0.85%EUR2029-02-25Euronext Brussels
BNP PAR. FORT./2.5 BD 20290905 SRBE2141254760Fixed rate2.5%EUR2029-09-05Euronext Brussels
BNP PARIBAS/4.21 MTN 20291025FR001400LLQ9Fixed rate4.21%EUR2029-10-25Borsa del Lussemburgo
BNP PARIBAS/3.6 MTN 20300207FR001400FLP3Fixed rate3.6%EUR2030-02-07Borsa del Lussemburgo
BNP PARIBAS/ MTN 20300228XS2988672817OtherEUR2030-02-28Borsa del Lussemburgo
BNP PARIBAS/ MTN 20300318FR001400YAW3OtherEUR2030-03-18Borsa del Lussemburgo
BNP FORTIS FUND/ 20300404XS2998747450OtherEUR2030-04-04Borsa del Lussemburgo
BNP FORTIS FUND/ 20300502XS3030523057OtherEUR2030-05-02Borsa del Lussemburgo
BNP PAR. FORT./0.07 MB 20300520 SRBE0002701820Fixed rate0.07%EUR2030-05-20Euronext Brussels
BNP PARIBAS/2.78 MTN 20300606XS3090104772OtherEUR2030-06-06Borsa del Lussemburgo
BNP PARI.ISS./3 MTN 20300710XS3106455085Fixed rate3%EUR2030-07-10Borsa del Lussemburgo
BNP PARIBAS/3 MTN 20300813XS3147409802Fixed rate3%EUR2030-08-13Borsa del Lussemburgo
BNP PARIBAS/0.685 MTN 20300826FR0013531753Fixed rate0.685%EUR2030-08-26Borsa del Lussemburgo
BNP PARIBAS/3 MTN 20301029XS3215613574OtherEUR2030-10-29Borsa del Lussemburgo
BNP FORTIS FUND/ 20301219XS3220970779OtherEUR2030-12-19Borsa del Lussemburgo
BNP FORTIS FUND/6.45 BD 20310127XS0123739533Fixed rate6.45%EUR2031-01-27Borsa del Lussemburgo
BP0PCT19022031IDXFR001400QC44Zero coupon0%EUR2031-02-19Euronext Paris
BNP PARIBAS/ 20310318XS3287422334OtherUSD2031-03-18Borsa del Lussemburgo
BNP PARIBAS/3.21 BD 20310326FR00140177D1Fixed rate3.12%EUR2031-03-26Borsa del Lussemburgo
BNP FORTIS FUND/ 20310707XS3368967462OtherEUR2031-07-07Borsa del Lussemburgo
BNP FORTIS FUND/ MTN 20310707XS3368966571OtherEUR2031-07-07Borsa del Lussemburgo
BNP PAR. FORT./2.9 MB 20320129 SRBE6359407879Fixed rate2.9%EUR2032-01-29Euronext Brussels
BNP FORTIS FUND/ 20320330XS3285533173OtherEUR2032-03-30Borsa del Lussemburgo
BNP FORTIS FUND/ZERO CPN MTNXS3310384402OtherEUR2032-04-30Borsa del Lussemburgo
BNP FORTIS FUND/ZERO CPN MTNXS3346944617OtherEUR2032-05-29Borsa del Lussemburgo
BNP PARIBAS/3 MTN 20320709XS3106718946OtherEUR2032-07-09Borsa del Lussemburgo
BNP PARIBAS/3.04 MTN 20320813XS3145638162OtherEUR2032-08-13Borsa del Lussemburgo
BNP PARIBAS/3 MTN 20321029XS3215614549OtherEUR2032-10-29Borsa del Lussemburgo
BNP PAR. FORT./2.84 MB 20330309 SRBE6372380624Fixed rate2.84%EUR2033-03-09Euronext Brussels
BNP PARIBAS/2.65 MTN 20330321FR001400GKK4Fixed rate2.65%CHF2033-03-21Borsa del Lussemburgo
BNP PARIBAS/4.65 MTN 20331117FR001400LUU2Fixed rate4.65%EUR2033-11-17Borsa del Lussemburgo
BNP PARIBAS/3.625 BD 20340520FR001400AJD4Fixed rate3.625%EUR2034-05-20Euronext Paris
BNP PARIBAS/ZERO CPN MTN 20340621FR001400QMW4Zero coupon0%EUR2034-06-21Borsa del Lussemburgo
BNP PARIBAS/ MTN 20340725XS2872146340OtherEUR2034-07-25Borsa del Lussemburgo
BNP PARIBAS/ MTN 20340725XS2872146936OtherEUR2034-07-25Borsa del Lussemburgo
BNP PARIBAS/ MTN 20340725XS2872146779OtherEUR2034-07-25Borsa del Lussemburgo
BNP PARIBAS/3.73 MTN 20340726FR001400RFN5Fixed rate3.73%EUR2034-07-26Borsa del Lussemburgo
BNP PARIBAS/5 MTN 20340802FR001400QB45OtherEUR2034-08-02Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20340906FR001400QU83Zero coupon0%EUR2034-09-06Borsa del Lussemburgo
BNP PAR. FORT./3.05 MB 20350129 SRBE6359408885Fixed rate3.05%EUR2035-01-29Euronext Brussels
BNP PARIBAS/ MTN 20350214XS2982345568OtherEUR2035-02-14Borsa del Lussemburgo
BNP PARIBAS/4.518 MTN 20360623FR001400ITK1Fixed rate4.518%EUR2036-06-23Borsa del Lussemburgo
BNP PARIBAS/4.002 Bd 20360623 SrFR00140199V7Fixed rate4.002%EUR2036-06-23Börse München · Börse Stuttgart +1
BNP PARIBAS/5.41 MTN 20360629 SRFR0014019HU7Fixed rate5.41%USD2036-06-29Borsa del Lussemburgo
BNP PARIBAS/5.35 MTN 20360710 SRFR0014019RE0Fixed rate5.35%USD2036-07-10Borsa del Lussemburgo
BNPParibas/ MTN 20360710FR0014018M14OtherEUR2036-07-10Borsa del Lussemburgo
BNP PARIBAS/5.37 MTN 20360710 SRFR0014019RC4Fixed rate5.37%USD2036-07-10Borsa del Lussemburgo
BNP PARIBAS/FXD / FR GTD SUB NTUSF1058YHX97Variable rateUSD2037-06-29not on a retail exchange
BNP PARIBAS/ZERO CPN MTN 20370721FR0014011KC6Zero coupon0%EUR2037-07-21Borsa del Lussemburgo
BNP PARIBAS SA/DBT 20390128FR0013398757Fixed rate3.34%EUR2039-01-28Euronext Paris
BNP PARIBAS/ZERO CPN MTN 20390315FR001400OPA8Zero coupon0%USD2039-03-15Borsa del Lussemburgo
BNP PARIBAS CAR/VAR BD 20410527FR0014018PQ0Variable rateEUR2041-05-27Borsa del Lussemburgo · Börse Düsseldorf +1
BNP PARIBAS/4.5 MTN 20420421FR001400H9J8Fixed rate4.5%EUR2042-04-21Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20430526FR001400I2H6Zero coupon0%USD2043-05-26Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20430915FR001400KKH2Zero coupon0%USD2043-09-15Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20431124FR001400M4P9Zero coupon0%USD2043-11-24Borsa del Lussemburgo
BNP PARIBAS/6.05 MTN 20460629FR0014019H36Fixed rate6.05%USD2046-06-29Borsa del Lussemburgo
BNP PARIBAS CAR/VAR BD 20461127FR0014018PR8Variable rateEUR2046-11-27Borsa del Lussemburgo · Börse Düsseldorf +2
BNP PARIBAS/ZERO CPN MTN 20490724FR0013434909Zero coupon0%USD2049-07-24Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20500611FR0013517489Zero coupon0%USD2050-06-11Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20500612FR0013517786Zero coupon0%USD2050-06-12Borsa del Lussemburgo
BNP PARIBAS/ZERO CPN MTN 20500623FR0013519717Zero coupon0%USD2050-06-23Borsa del Lussemburgo
BNP PARIBAS/1.59 MTN 20510223FR0014002531Fixed rate1.59%EUR2051-02-23Borsa del Lussemburgo
BNP PARIBAS/DBTFR0010477125Fixed rate6.5%USD9999-12-31not on a retail exchange
BNP PARIBAS/DBTFR0000047797Variable rateEUR9999-12-31Euronext Paris
FORTIS BANQUE F/DBTFR0000047839Variable rateEUR9999-12-31Euronext Paris
BNP PARIBAS/DBTFR0000140063Variable rateEUR9999-12-31Euronext Paris
BNP PARIBAS/DBTFR0000572646Variable rateEUR9999-12-31Börse Frankfurt · Börse Hamburg +2
BNP PARIBAS/VAR BD 21001231FR0014016B43Variable rateEUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +2
BNP PARIBAS/VAR RATE NT PERP SUUS05565AHN63Variable rateUSD9999-12-31not on a retail exchange
BNP PARIBAS/VAR RATE NT PERP SUB 14US05565ALQ49Variable rateUSD9999-12-31Euronext Paris
BNP PARIBAS/7.75 NT PERP UNSECUS05565AM341Fixed rate7.75%USD9999-12-31Euronext Paris
UNKNOWNUSF1067PAH94Variable rateUSD9999-12-31Borsa del Lussemburgo · Börse Frankfurt +1
BNP PARIBAS/VAR RATE NT PERP SUBUSF1R15XL274Variable rateUSD9999-12-31Börse Frankfurt · Börse München +2
BNP PARIBAS/VAR BD 21001231FR001400BBL2Variable rateEUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +5
BNPPARIBAS/DBTFR0010638338Variable rateEUR9999-12-31not on a retail exchange
BNP Float PERPFR0008131403Variable rateUSD9999-12-31not on a retail exchange
BNP PARIBAS/NT PERP UNSEC 144AUS05565ADW09Fixed rate5.125%GBP9999-12-31not on a retail exchange
BNP 6.750 3/2022-49 (144a)US05565ACA97Fixed rate6.75%USD9999-12-31not on a retail exchange
BNP PARIBAS/NT Perp Sub 144AUS05565AAQ67Fixed rate7.625%USD9999-12-31not on a retail exchange
UNKNOWNUS05565AAN37Fixed rate7.375%USD9999-12-31not on a retail exchange
BNP 7.195 6/25/49 (144a)US05565AAB98Fixed rate7.195%USD9999-12-31not on a retail exchange
BNP PARIBAS/8.5 NT UNSEC 144AUS05565A5R02Fixed rate8.5%USD9999-12-31Euronext Paris
BNP PARIBAS/7 SR SUB NT PERP SRUSF1R15XK854Fixed rate7%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP PARIBAS/NT 2059 UNSECUSF1067PAJ50Fixed rate6.875%USD9999-12-31Borsa del Lussemburgo · Börse Frankfurt +2
BNP PARIBAS/NT 2059 UNSECUS05602XQR25Fixed rate6.875%GBP9999-12-31Borsa del Lussemburgo
BNPPARIBAS/NTPERPSUB144AUS05565AGF49Fixed rate7%USD9999-12-31not on a retail exchange
BNP PARIBAS/DBTFR0000047664Fixed rate3.751%EUR9999-12-31Euronext Paris
BNP PARIBAS/7.375 BD 21001231FR001400F2H9Fixed rate7.375%EUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +5
BNP PARIBAS/4.625 NT PERP UNSECUSF1R15XL357Fixed rate4.625%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP PARIBAS/4.625 NT PERP UNSECUS05565ASK06Fixed rate4.625%USD9999-12-31Euronext Paris
BNP PARIBAS/4.625 NT 20491231 SUSF1067PAB25Fixed rate4.625%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP 7.450 12/2035-49 (144a) CO-COUS05602XQQ42OtherGBP9999-12-31Borsa del Lussemburgo
BNP PARIBAS/4.625 NT 20491231 SUS05565AB286Fixed rate4.625%USD9999-12-31Euronext Paris
BNP PARIBAS/7 BD 21001231 SR SUBFR0014014MD4Fixed rate7%GBP9999-12-31Borsa del Lussemburgo · Börse Frankfurt
BNP PARIBAS CAR/VAR BD 21001231FR00140196B5Variable rateEUR9999-12-31Borsa del Lussemburgo · Börse Düsseldorf +3
BNP PARIBAS/NT PERP UNSEC 144AUSF1R15XK698Fixed rate6.75%USD9999-12-31Euronext Paris
BNP PARIBAS CAR/Var Bd 21001231FR0014013VP1Variable rateEUR9999-12-31Borsa del Lussemburgo
BNP PARIBAS/NT PERP UNSEC REGSUSF1R15XK771Fixed rate5.125%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP 6.625 PERPUSF1R15XK938Fixed rate0%USD9999-12-31not on a retail exchange
BNP 7.375 PERPUSF1R15XK367Fixed rate0%USD9999-12-31not on a retail exchange
BNP PARIBAS/8.5 NT UNSEC REGSUSF1067PAE63Fixed rate8.5%USD9999-12-31Börse Düsseldorf · Börse Frankfurt +2
BNP PARIBAS/9.25 NT PERP UNSECUSF1067PAD80Fixed rate9.25%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP PARIBAS/7.75 NT PERP UNSECUSF1067PAC08Fixed rate7.75%USD9999-12-31Börse Frankfurt · Börse Stuttgart +1
BNP PARIBAS/9.25 NT PERP UNSECUS05565AS207Fixed rate9.25%USD9999-12-31Börse Frankfurt · Euronext Paris
NoteAn informational registry of objective data, not investment advice or an offer to buy. It does not show market prices. Information comes from the public EU register and may contain delays or inaccuracies: always verify with your broker.
Sources: reference data from ESMA (FIRDS); issuer identifiers from GLEIF (LEI, CC0 licence). Rebalix is not affiliated with or endorsed by ESMA, GLEIF or the issuer.

Frequently asked questions

How many BNP Paribas bonds are outstanding?

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.

Are BNP Paribas bonds government bonds?

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.

Does it include prices and yields?

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.

What does ISIN mean?

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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