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BNP Paribas — bonds & company profile

company BNP Paribas
full company name BNP Paribas
type of legal entity Joint-stock company
country of risk France
country of registration France
industry Banks
web https://group.bnpparibas/en/
SIC 8880 AMERICAN DEPOSITARY RECEIPTS
ICB 8300 Banks
IR Web https://invest.bnpparibas.com/en

Company details

  • pre-LEI / LEI
    R0MUWSFPU8MPRO8K5P83
  • SWIFT
    BNPAFRPPXXX
  • CIK
    0000310732

Profile

BNP Paribas SA attracts deposits and offers commercial, retail, investment, and private and corporate banking services. The Bank also provides asset management and investment advisory services to institutions and individuals in Europe, the United States, Asia, and the emerging markets.

News and documents

Issuer credit rating

Rating AgencyRatingRating scaleDate
Scope Ratings *** Issuer Rating ***
Scope Ratings *** Senior Unsecured Debt Rating ***
DBRS Limited *** Long-Term Issuer Rating ***
DBRS Limited *** Long-Term Deposits ***
DBRS Limited *** Long-Term Senior Debt ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
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Outstanding bond issues amount

Сurrency Outstanding bond issues Cumulative volume
AUD 22 4 022 000 000
BRL 2 13 350 000
CHF 7 917 140 000
CNY 1 500 000 000
COP 1 17 200 000 000
CZK 9 4 095 500 000
EUR 127 62 238 893 752
GBP 12 2 693 889 960
HUF 1 800 000 000
JPY 7 286 537 000 000
KZT 1 2 620 800 000
NOK 9 5 540 000 000
NZD 2 40 000 000
PEN 1 65 000 000
PLN 2 45 000 000
RON 2 84 500 000
RUB 2 980 000 000
SEK 2 1 000 000 000
SGD 3 750 000 000
TND 1 6 500 000
UAH 1 180 000 000
USD 84 45 870 124 000
ZAR 2 850 000 000
ZMW 1 15 000 000

Debentures

Loans Volume, mln Status
UkrSibbank, 2, 10.2007 55 USD Redeemed
UkrSibbank, 1, 10.2007 55 USD Redeemed
UkrSibbank, 5.2007 250 USD Redeemed
UkrSibbank, 4.2007 50 USD Redeemed
UkrSibbank, 11.2005 115 USD Redeemed
UkrSibbank, 3.2005 37 USD Redeemed

Participation

Loans Volume, mln Status
SOCAR, 09.2019 200 USD Bookrunner
Kernel Holding, 2, 10.2018 95 USD Bookrunner
Kernel Holding, 1, 10.2018 200 USD Bookrunner
Nibulon, 06.2018 80 USD Placement participant
Sovcomflot, 04.2018 252 USD Bookrunner
Kernel Holding, 02.2018 100 USD Bookrunner
Ferrexpo, 11.2017 195 USD Bookrunner
Kernel Holding, 10.2017 200 USD Bookrunner
SOCAR, 09.2017 300 USD Bookrunner
EuroChem, 08.2017 750 USD Bookrunner

Consolidated IFRS reports

year 1 Q 2 Q 3 Q 4 Q
2020
4.24 M eng
2019
3.94 M eng
4.66 M eng
2018
1.06 M eng
1.22 M eng
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Quotes

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Security Date Bid price Ask price Last price YTM (bid), % YTM (ask), % YTM (last), %
BNP PARIBAS ARBITRAGE, 5.5% 25nov2023, USD 09/18/2020 ***.****
BNP Paribas Issuance, 2.7% 2mar2026, USD 09/18/2020 ***.**** *.**
BNP Paribas Issuance, 3.75% 2mar2026, AUD 09/18/2020 ***.**** *.**
BNP Paribas Issuance, 4% 22jul2023, GBP 09/18/2020 **.****
BNP Paribas Issuance, 4% 27apr2023, USD 09/18/2020 **.****
BNP Paribas Issuance, 5% 12apr2026, GBP 09/18/2020 **.****
BNP Paribas Issuance, 5% 22sep2025, USD 09/18/2020 **.****
BNP Paribas Issuance, 6% 3jun2023, AUD 09/18/2020 **.****
BNP Paribas Issuance, 6% 3jun2023, NZD 09/18/2020 ***.****
BNP Paribas Issuance, FRN 25may2026, NZD 09/18/2020 **.****
BNP Paribas Issuance, FRN 25may2026, USD 09/18/2020 **.****
BNP Paribas, 2.05% 23nov2026, USD 09/18/2020 ***.**** *.**
BNP Paribas, FRN 6oct2027, USD 09/18/2020 **.****
IBRD, 1.5% 24jul2027, CAD 09/18/2020 ***.**** *.**
IBRD, 2.25% 22may2027, USD 09/18/2020 ***.**** *.**
IBRD, 2.25% 24jul2027, PLN 09/18/2020 ***.**** ***.**** *.** *.**
IBRD, 2.5% 22jul2021, CNY 09/18/2020 **.**** *.**
IBRD, 3% 21sep2027, USD 09/14/2020 **.**** **.****
IBRD, 3% 26feb2023, PHP 09/18/2020 **.**** ***.**** *.** *.**
IBRD, 3% 26feb2023, RON 09/18/2020 ***.**** ***.**** *.** *.**
IBRD, 3% 6feb2027, AUD 09/18/2020 ***.**** ***.**** *.** *.**
IBRD, 3.6% 6feb2027, NZD 09/18/2020 ***.**** ***.**** *.** *.**
IBRD, 5.8% 22jul2021, INR 09/18/2020 **.**** *.**
IBRD, 6.25% 11feb2022, IDR 09/18/2020 ***.**** ***.**** *.** *.**
IBRD, FRN 18may2028, USD 09/18/2020 ***.**** ***.****
IBRD, FRN 30nov2028, USD 09/18/2020 ***.****
IBRD, FRN 7dec2027, USD 09/18/2020 **.****
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