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MULTI BBVA BNP PARIBAS ARBITRAGE ISSUANCE 17/12/2021
ISINNL0013992142CodeZ0145ProductMulti Warrants


TypePut StyleEuropean Ratio / Parity (*)1  
Admission Date07/02/2020 Maturity Date17/12/2021 
UnderlyingBBVA 
Underlying CurrencyEuros Underlying ISINES0113211835 
IssuerBNP PARIBAS ARBITRAGE ISSUANCE 
DateLastHighLowAvg.VolumeTurnoverCloseCierre
23/09/202012:19:2190.0090.0086.0088.0011610,208.00-
08/09/2020Close61.2062.0062.0062.00724,464.0061.20
X
23/09/2020 17:02:20
BidAsk
OrdersVolumePricePriceVolumeOrders
1100105.7000106.80001001
16280.0000- - -
Data Delayed 15 minutes.


(*) Ratio / Parity: For further information, please refer to New Listing section.

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