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1 The Base Prospectus expires on 9 June 2016 and the Issuer intends that the Base Prospectus will be immediatelyupdated thereafter. The updated base prospectus will be available on the AMF website FINAL TERMS DATED 23 MAY 2016 BNP Paribas Arbitrage Issuance B.V. (incorporated in The Netherlands) (as Issuer) BNP Paribas (incorporated in France) (as Guarantor) (Note, Warrant and Certificate Programme) Up to 4,000 SEK "Conditional Allocation" Certificates relating to OMXS30 Index due 03 August 2021 ISIN Code: SE BNP Paribas Arbitrage S.N.C. (as Manager) The Securities are offered to the public in SWEDEN from 23 May 2016 to 01 July Any person making or intending to make an offer of the Securities may only do so : (i) (ii) in those Non-exempt Offer Jurisdictions mentioned in Paragraph 48 of Part A below, provided such person is a Manager or an Authorised Offeror (as such term is defined in the Base Prospectus) and that the offer is made during the Offer Period specified in that paragraph and that any conditions relevant to the use of the Base Prospectus are complied with; or otherwise in circumstances in which no obligation arises for the Issuer or any Manager to publish a prospectus pursuant to Article 3 of the Prospectus Directive or to supplement a prospectus pursuant to Article 16 of the Prospectus Directive, in each case, in relation to such offer. None of the Issuer nor, the Guarantor or any Manager has authorised, nor do they authorise, the making of any offer of Securities in any other circumstances. Investors should note that if a supplement to or an updated version of the Base Prospectus referred to below is published at any time during the Offer Period (as defined below), such supplement or updated base prospectus, as the case may be, will be published and made available in accordance with the arrangements applied to the original publication of these Final Terms. Any investors who have indicated acceptances of the Offer (as defined below) prior to the date of publication of such supplement or updated version of the Base Prospectus, as the case may be, (the "Publication Date") have the right within two working days of the Publication Date to withdraw their acceptances. 1 / 20

2 PART A - CONTRACTUAL TERMS Terms used herein shall be deemed to be defined as such for the purposes of the Conditions set forth in the Base Prospectus dated 9 June 2015, each Supplement to the Base Prospectus published and approved on or before the date of these Final Terms (copies of which are available as described below) and any other Supplement to the Base Prospectus which may have been published and approved before the issue of any additional amount of Securities (the "Supplements") (provided that to the extent any such Supplement (i) is published and approved after the date of these Final Terms and (ii) provide for any change to the Conditions of the Securities such changes shall have no effect with respect to the Conditions of the Securities to which these Final Terms relate) (together, the "2015 Base Prospectus"), notwithstanding the approval of an updated base prospectus which will replace the 2015 Base Prospectus (the "2016 Base Prospectus"). This document constitutes the Final Terms of the Securities described herein for the purposes of Article 5.4 of the Prospectus Directive (i) prior to the Publication Date, must be read in conjunction with the 2015 Base Prospectus, as supplemented, or (ii) on and after the publication and approval of the 2016 Base Prospectus, must be read in conjunction with the 2016 Base Prospectus, as supplemented, save in respect of the Conditions which are extracted from the 2015 Base Prospectus as supplemented, as the case may be. The 2015 Base Prospectus, as supplemented, constitutes, and the 2016 Base Prospectus will constitute, a base prospectus for the purposes of the Prospectus Directive. Full information on BNP Paribas Arbitrage Issuance B.V. (the "Issuer") BNP Paribas (the Guarantor ) and the offer of the Securities is only available on the basis of the combination of these Final Terms and either (i) prior to the Publication Date, the 2015 Base Prospectus, as supplemented, or (ii)] on or after the publication and approval of the 2016 Base Prospectus, the 2016 Base Prospectus, as supplemented], save in respect of the Conditions which are extracted from the 2015 Base Prospectus, as the case may be. The Issuer has in the 2015 Base Prospectus given consent to the use of the 2015 Base Prospectus in connection with the offer of the Securities. Such consent will be valid until the date that is twelve months following the date of the 2015 Base Prospectus. The Issuer will in the 2016 Base Prospectus give consent to the use of the 2016 Base Prospectus in connection with the offer of the Securities. A summary of the Securities (which comprises the Summary in the Base Prospectus as amended to reflect the provisions of these Final Terms) is annexed to these Final Terms. The 2015 Base Prospectus, as supplemented, and these Final Terms are available, and the 2016 Base Prospectus will be available for viewing at BNP Paribas Arbitrage S.N.C boulevard MacDonald, Paris, France and/or on and copies may be obtained free of charge at the specified offices of the Security Agents. The Base Prospectus and the Supplement(s) to the Base Prospectus will also be available on the AMF website References herein to numbered Conditions are to the terms and conditions of the relevant series of Securities and words and expressions defined in such terms and conditions shall bear the same meaning in these Final Terms in so far as they relate to such series of Securities, save as where otherwise expressly provided. These Final Terms relate to the series of Securities as set out in "Specific Provisions for each Series" below. References herein to "Securities" shall be deemed to be references to the relevant Securities that are the subject of these Final Terms and references to "Security" shall be construed accordingly. 2 / 20

3 SPECIFIC PROVISIONS FOR EACH SERIES Series Number No. of Securities issued No. of Securities ISIN Common Code Issue Price per Security Redemption Date CE2019BAR Up to 4,000 Up to 4,000 SE % of the Notional Amount 03 August 2021 GENERAL PROVISIONS The following terms apply to each series of Securities: 1. Issuer: BNP Paribas Arbitrage Issuance B.V. 2. Guarantor: BNP Paribas 3. Trade Date: 14 July Issue Date: 03 August Consolidation: 6. Type of Securities: (a) Certificates. (b) The Securities are Index Securities. 7. Form of Securities: Swedish Dematerialised Securities. The provisions of Annex 2 (Additional Terms and Conditions for Index Securities) shall apply. 8. Business Day Centre(s): The applicable Business Day Centre for the purposes of the definition of "Business Day" in Condition 1 is Stockholm. 9. Settlement: Settlement will be by way of cash payment (Cash Settled Securities). 10. Rounding Convention for cash Settlement Amount: 11. Variation of Settlement: Issuer's option to vary settlement: The Issuer does not have the option to vary settlement in respect of the Securities. 12. Final Payout: NA x SPS Payout "NA" means Notional Amount. SPS Payout: Sum Securities A B Contant Percentage 1 + PW a ([Additional Final Payout] a,b ) a=1 b=1 Where Constant Percentage 1 means 0% 3 / 20

4 A means 3 B means 1 Additional Final Payout (with a=1 and b=1) means Vanilla Call Securities Vanilla Call Securities Constant Percentage 1 + Gearing Max(Final Redemption Value Strike Percentage, Floor Percentage) With: Constant Percentage 1: 0% Gearing: 50 % Strike Percentage: 0% Floor Percentage : 0% Final Redemption Value: Underlying Reference Value Strike Price Closing Value: Applicable Underlying Reference Value: means, in respect of an Underlying Reference and a SPS Valuation Date, (i) the Underlying Reference Closing Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Closing Price Value means, in respect of a SPS Valuation Date, the Closing Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; Underlying Reference means as set out in 25(a) above Additional Final Payout Weighting (PW1) means 1 SPS Valuation Date means the SPS Redemption Valuation Date or the Strike Date, as applicable. SPS Redemption Valuation Date means the Settlement Price Date Settlement Price Date means the Valuation Date Valuation Date means the Redemption Valuation Date Additional Final Payout (with a =2 and b= 1) means Knock-in Vanilla Call Securities Knock-in Vanilla Call Securities (A) If a Knock-in Event has occurred : Constant Percentage 1 + Gearing * Max (Final Redemption Value Strike Percentage, Floor Percentage) ; or (B) If no Knock-in Event has occurred : Constant Percentage 2 With: Constant Percentage 1: 0% 4 / 20

5 Gearing: % Strike Percentage: 0% Floor Percentage: 0% Constant Percentage 2: 25% Final Redemption Value: Underlying Reference Value Strike Price Closing Value: Applicable Underlying Reference Value: means, in respect of an Underlying Reference and a SPS Valuation Date, (i) the Underlying Reference Closing Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Closing Price Value means, in respect of a SPS Valuation Date, the Closing Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; Underlying Reference means as set out in 25(a) above Additional Final Payout Weighting (PW2) means 1 SPS Valuation Date means the SPS Redemption Valuation Date or the Strike Date, as applicable. SPS Redemption Valuation Date means the Settlement Price Date Settlement Price Date means the Valuation Date Valuation Date means the Redemption Valuation Date Additional Final Payout (with a =3 and b= 1) means Knock-in Vanilla Call Securities Knock-in Vanilla Call Securities (A) If a Knock-in Event has occurred : Constant Percentage 1 + Gearing * Max (Final Redemption Value Strike Percentage, Floor Percentage) ; or (B) If no Knock-in Event has occurred : Constant Percentage 2 With: Constant Percentage 1: 0% Gearing: % Strike Percentage: 0% Floor Percentage : 0% Constant Percentage 2: 25% Final Redemption Value : Underlying Reference Value Strike Price Closing Value: Applicable Underlying Reference Value means, in respect of an Underlying Reference and a SPS Valuation Date, (i) the Underlying Reference 5 / 20

6 Closing Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Closing Price Value means, in respect of a SPS Valuation Date, the Closing Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; Underlying Reference means as set out in 25(a) above Additional Final Payout Weighting (PW3) means 1 SPS Valuation Date means the SPS Redemption Valuation Date or the Strike Date, as applicable. SPS Redemption Valuation Date means the Settlement Price Date Settlement Price Date means the Valuation Date Valuation Date means the Redemption Valuation Date Payout Switch: Aggregation: 13. Relevant Asset(s): 14. Entitlement: 15. Exchange Rate: 16. Settlement Currency: The settlement currency for the payment of the Cash Settlement Amount is Swedish Krona ("SEK"). 17. Syndication: The Securities will be distributed on a non-syndicated basis. 18. Minimum Trading Size: 19. Principal Security Agent: The Swedish Security Agent as indicated in 5 of Part B - "Other Information". 20. Registrar: 21. Calculation Agent: BNP Paribas Arbitrage S.N.C. 22. Governing law: English law. 23. Masse provisions (Condition 9.4): PRODUCT SPECIFIC PROVISIONS 24. Hybrid Securities: 25. Index Securities: Applicable boulevard MacDonald, Paris, France. 6 / 20

7 (a) Index/Basket of Indices/Index Sponsor(s): (b) Index Currency: (c) Exchange(s): (d) Related Exchange(s): (e) Exchange Business Day: (f) Scheduled Trading Day: (g) Weighting: (h) Settlement Price: (i) Specified Maximum Days of Disruption: (j) Valuation Time: (k) Delayed Redemption on Occurrence of an Index Adjustments Event: (l) Index Correction Period: (m) Additional provisions applicable to Custom Indices: (n) Additional provisions applicable to Futures Price Valuation: The "Underlying Reference" is the OMXS30 TM Index (Bloomberg Code: OMX). The NASDAQ OMX Group or any successor thereto is the Index Sponsor. Swedish Krona ("SEK"). Stockholm Stock Exchange. All Exchanges. Single Index Basis. Single Index Basis. Not applicable Eight (8) Scheduled Trading Days. Conditions apply. As per Conditions. 26. Share Securities: 27. ETI Securities: 28. Debt Securities: 29. Commodity Securities: 30. Inflation Index Securities: 31. Currency Securities: 32. Fund Securities: 33. Futures Securities: 34. Credit Securities: 35. Underlying Interest Rate Securities: 7 / 20

8 36. Preference Share Certificates: 37. OET Certificates: 38. Additional Disruption Events: Applicable. 39. Optional Additional Disruption Events: (a) The following Optional Additional Disruption Events apply to the Securities: (b) Delayed Redemption on Occurrence of an Additional Disruption Event and/or Optional Additional Disruption Event: 40. Knock-in Event: Applicable. If the Knock-In Value is less than the Knock-In Level in respect of the Knock-In Determination Period. (a) SPS Knock-in Valuation: (b) Level: (c) Knock-in Level/Knock-in Range Level: (d) Knock-in Period Beginning Date: (e) Knock-in Period Beginning Applicable. Knock-in Value means the Lowest Underlying Reference Intraday Value. Strike Price Closing Value is applicable. Lowest Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Period, the lowest Underlying Reference Intraday Value for such Underlying Reference for all the SPS Valuation Dates in such SPS Valuation Period; Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Date, (a) (i) the Underlying Reference Intraday Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Intraday Price Value means, in respect of a SPS Valuation Date, the Intraday Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; Underlying Reference means as set out in 25(a) above. SPS Valuation Period means the period form, but excluding, the Strike Date to, and including, the Redemption Valuation Date. SPS Valuation Date means each Knock-in Determination Day within the Knock-in Determination Period, as applicable. 80 per cent with respect to Additional Final Payout (3,1) 90 per cent with respect to Additional Final Payout (2,1) Strike Date. 8 / 20

9 Date Day Convention: (f) Knock-in Determination Period: (g) Knock-in Determination Day(s): (h) Knock-in Period Ending Date: (i) Knock-in Period Ending Date Day Convention: (j) Knock-in Valuation Time: (k) Knock-in Observation Price Source: (l) Disruption Consequences: The period from, but excluding, the Knock-in Determination Beginning Date to, and including, the Knock-in Determination Ending Date Each Scheduled Trading Day within the Knock-in Determination Period. The Redemption Valuation Date. Applicable. 41. Knock-out Event: PROVISIONS RELATING TO WARRANTS 42. Provisions relating to Warrants: PROVISIONS RELATING TO CERTIFICATES 43. Provisions relating to Certificates: Applicable. (a) Notional Amount of each Certificate: (b) Partly Paid Certificates: (c) Interest: (i) Interest Period(s): (ii) Interest Period End Date(s): SEK 10,000 The Certificates are not Partly Paid Certificates. Applicable. Applicable. 5 September 2016 (i=1), 4 October 2016 (i=2), 3 November 2016 (i=3), 5 December 2016 (i=4), 3 January 2017 (i=5), 3 February 2017 (i=6), 7 March 2017 (i=7), 3 April 2017 (i=8), 4 May 2017 (i=9), 5 June 2017 (i=10), 4 July 2017 (i=11), 3 August 2017 (i=12), 4 September 2017 (i=13), 4 October 2017 (i=14), 3 November 2017 (i=15), 4 December 2017 (i=16), 3 January 2018 (i=17), 5 February 2018 (i=18), 6 March 2018 (i=19), 3 April 2018 (i=20), 4 May 2018 (i=21), 5 June 2018 (i=22), 4 July 2018 (i=23), 3 August 2018 (i=24), 3 September 2018 (i=25), 4 October 2018 (i=26), 5 November 2018 (i=27), 4 December 2018 (i=28), 3 January 2019 (i=29), 5 February 2019 (i=30), 6 March 2019 (i=31), 3 April 2019 (i=32), 7 May 2019 (i=33), 3 June 2019 (i=34), 4 July 2019 (i=35), 5 August 2019 (i=36), 3 September 2019 (i=37), 4 October 2019 (i=38), 4 November 2019 (i=39), 4 December 2019 (i=40), 3 January 2020 (i=41), 4 February 2020 (i=42), 5 March 2020 (i=43), 3 April 2020 (i=44), 4 May 2020 (i=45), 3 June 2020 (i=46), 6 July 2020 (i=47), 3 August 2020 (i=48), 3 September 2020 (i=49), 5 October 2020 (i=50), 3 November 2020 (i=51), 4 December 2020 (i=52), 4 January 2021 (i=53), 3 February 2021 (i=54), 8 March / 20

10 (i=55), 6 April 2021 (i=56), 4 May 2021 (i=57), 3 June 2021 (i=58), 5 July 2021 (i=59) and the Redemption Date (i=60). (iii) Business Day Convention for Interest Period End Date(s): (iv) Interest Payment Date(s): (v) Business Day Convention for Interest Payment Date(s): (vi) Party responsible for calculating the Rate(s) of Interest and Interest Amount(s) (if not the Calculation Agent): (vii) Margin(s): (viii) Minimum Interest Rate: (ix) Maximum Interest Rate: (x) Day Count Fraction: (xi) Interest Determination Date(s): (xii) Accrual to Redemption: (xiii) Rate of Interest: (xiv) Coupon rate: 5 September 2016 (i=1), 4 October 2016 (i=2), 3 November 2016 (i=3), 5 December 2016 (i=4), 3 January 2017 (i=5), 3 February 2017 (i=6), 7 March 2017 (i=7), 3 April 2017 (i=8), 4 May 2017 (i=9), 5 June 2017 (i=10), 4 July 2017 (i=11), 3 August 2017 (i=12), 4 September 2017 (i=13), 4 October 2017 (i=14), 3 November 2017 (i=15), 4 December 2017 (i=16), 3 January 2018 (i=17), 5 February 2018 (i=18), 6 March 2018 (i=19), 3 April 2018 (i=20), 4 May 2018 (i=21), 5 June 2018 (i=22), 4 July 2018 (i=23), 3 August 2018 (i=24), 3 September 2018 (i=25), 4 October 2018 (i=26), 5 November 2018 (i=27), 4 December 2018 (i=28), 3 January 2019 (i=29), 5 February 2019 (i=30), 6 March 2019 (i=31), 3 April 2019 (i=32), 7 May 2019 (i=33), 3 June 2019 (i=34), 4 July 2019 (i=35), 5 August 2019 (i=36), 3 September 2019 (i=37), 4 October 2019 (i=38), 4 November 2019 (i=39), 4 December 2019 (i=40), 3 January 2020 (i=41), 4 February 2020 (i=42), 5 March 2020 (i=43), 3 April 2020 (i=44), 4 May 2020 (i=45), 3 June 2020 (i=46), 6 July 2020 (i=47), 3 August 2020 (i=48), 3 September 2020 (i=49), 5 October 2020 (i=50), 3 November 2020 (i=51), 4 December 2020 (i=52), 4 January 2021 (i=53), 3 February 2021 (i=54), 8 March 2021 (i=55), 6 April 2021 (i=56), 4 May 2021 (i=57), 3 June 2021 (i=58), 5 July 2021 (i=59) and the Redemption Date (i=60). Following Business Day Convention. Not applicable Not applicable Not applicable Not applicable Not applicable Linked Interest Sum Coupon A CWa (i) Additional Coupon a ( i) a l 10 / 20

11 "i" (i=1 to 60) means the relevant SPS Valuation Date A: 2 Additional Coupon [1] means Digital Coupon CW1 : 1 Digital Coupon (i) If the Digital Coupon Condition is satisfied in respect of SPS Coupon Valuation Date(i) : Rate(i) ; or (ii) With : If the Digital Coupon Condition is not satisfied in respect of SPS Coupon Valuation Date(i) : Zero. XX % Rate(i) means : 25% 12 XX% a level expected to be about 9.00 % but which will not be less than 6.00% as determined by the Issuer on Trade Date after the end of the Offer Period. Notice of the rate will be published in the same manner as the publication of these Final Terms and be available by accessing the following link : Digital Coupon Condition means that the DC Barrier Value for the relevant SPS Coupon Valuation Period is equal to or greater than the Barrier Level; DC Barrier Value means the Lowest Underlying Reference Intraday Value Strike Price Closing Value : Applicable Barrier Level : 90 % Lowest Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Period, the lowest Underlying Reference Intraday Value for such Underlying Reference for all the SPS Valuation Dates in such SPS Valuation Period; Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Date, (a) (i) the Underlying Reference Intraday Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Intraday Price Value means, in respect of a SPS Valuation Date, the Intraday Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; Underlying Reference means as set out in 25(a) above SPS Coupon Valuation Period means the period from but excludingthe Strike Date to, and including, the last Interest Valuation Date for the 11 / 20

12 relevant Interest Payment Date SPS Valuation Date means each SPS Coupon Valuation Date in the SPS Coupon Valuation Period, as applicable. SPS Coupon Valuation Date means the Settlement Price Date Settlement Price Date means the Valuation Date Valution Date means the Interest Valuation Date Additional Coupon [2] means Digital Coupon CW2 : 1 Digital Coupon (i) If the Digital Coupon Condition is satisfied in respect of SPS Coupon Valuation Date(i) : Rate(i) ; or (ii) With : If the Digital Coupon Condition is not satisfied in respect of SPS Coupon Valuation Date(i) : Zero. XX % Rate(i) means : 25% 12 XX% a level expected to be about 9.00 % but which will not be less than 6.00% as determined by the Issuer on Trade Date after the end of the Offer Period. Notice of the rate will be published in the same manner as the publication of these Final Terms and be available by accessing the following link : Digital Coupon Condition means that the DC Barrier Value for the relevant SPS Coupon Valuation Period is equal to or greater than the Barrier Level; DC Barrier Value means the Lowest Underlying Reference Intraday Value ; Strike Price Closing Value: Applicable Barrier Level : 80 % Lowest Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Period, the lowest Underlying Reference Intraday Value for such Underlying Reference for all the SPS Valuation Dates in such SPS Valuation Period; Underlying Reference Intraday Value means, in respect of an Underlying Reference and a SPS Valuation Date, (a) (i) the Underlying Reference Intraday Price Value for such Underlying Reference in respect of such SPS Valuation Date (ii) divided by the relevant Underlying Reference Strike Price. For the avoidance of doubt, when determining (i) above the SPS Valuation Date shall never refer to the Strike Date. Underlying Reference Intraday Price Value means, in respect of a SPS Valuation Date, the Intraday Level in respect of such day. Underlying Reference Strike Price means, in respect of an Underlying Reference, the Underlying Reference Closing Price Value for such Underlying Reference on the Strike Date; 12 / 20

13 Underlying Reference means as set out in 25(a) above ; SPS Coupon Valuation Period means the period from but excludingthe Strike Date to, and including, the last Interest Valuation Date for the relevant Interest Payment Date ; SPS Valuation Date means each SPS Coupon Valuation Date in the SPS Coupon Valuation Period, as applicable. SPS Coupon Valuation Date means the Settlement Price Date ; Settlement Price Date means the Valuation Date ; Valution Date means the Interest Valuation Date. (d) Fixed Rate Provisions: (e) Floating Rate Provisions: (f) Screen Rate Determination: (g) ISDA Determination: (h) FBF Determination: (i) Linked Interest Certificates: (j) Payment of Premium Amount(s): (k) Index Linked Interest Certificates: (i) Index/Basket of Indices /Index Sponsors: (ii) Averaging: (iii) Interest Valuation Time: (iv) Interest Valuation Date(s): Not applicable Not applicable Not applicable Applicable see Index Linked Interest Certificates below Not applicable Applicable The "Underlying Reference" is the OMXS30 TM Index (Bloomberg Code: OMX). The NASDAQ OMX Group or any successor thereto is the Index Sponsor. Averaging does not apply. Means all Scheduled Trading Days from Strike Date until 22 August 2016 (i=1), 20 September 2016 (i=2), 20 October 2016 (i=3), 21 November 2016 (i=4), 20 December 2016 (i=5), 20 January 2017 (i=6), 21 February 2017 (i=7), 20 March 2017 (i=8), 20 April 2017 (i=9), 22 May 2017 (i=10), 20 June 2017 (i=11), 20 July 2017 (i=12), 21 August 2017 (i=13), 20 September 2017 (i=14), 20 October 2017 (i=15), 20 November 2017 (i=16), 20 December 2017 (i=17), 22 January 2018 (i=18), 20 February 2018 (i=19), 20 March 2018 (i=20), 20 April 2018 (i=21), 22 May 2018 (i=22), 20 June 2018 (i=23), 20 July 2018 (i=24), 20 August 2018 (i=25), 20 September 2018 (i=26), 22 October 2018 (i=27), 20 November 2018 (i=28), 20 December 2018 (i=29), 22 January 2019 (i=30), 20 February 2019 (i=31), 20 March 2019 (i=32), 23 April 2019 (i=33), 20 May 2019 (i=34), 20 June 2019 (i=35), 22 July 2019 (i=36), 20 August 2019 (i=37), 20 September 2019 (i=38), 21 October 2019 (i=39), 20 November 2019 (i=40), 20 December 2019 (i=41), 21 January 2020 (i=42), 20 February 2020 (i=43), 20 March 2020 (i=44), 20 April 2020 (i=45), 20 May 2020 (i=46), 22 June 2020 (i=47), 13 / 20

14 20 July 2020 (i=48), 20 August 2020 (i=49), 21 September 2020 (i=50), 20 October 2020 (i=51), 20 November 2020 (i=52), 21 December 2020 (i=53), 20 January 2021 (i=54), 22 February 2021 (i=55), 22 March 2021 (i=56), 20 April 2021 (i=57), 20 May 2021 (i=58), 21 June 2021 (i=59) and the Redemption Valuation Date (i=60). (v) Index Correction Period: (vi) Observation Dates: (vii) Observation Period: (viii) Specified Maximum Days of Disruption: (ix) Exchange: (x) Related Exchange: (xi) Exchange Business Day: (xii) Scheduled Trading Day: (xiii) Settlement Price: (xiv) Weighting: (xv) Additional provisions applicable to Custom Indices: (xvi) Additional provisions applicable to Futures Price Valuation: (l) Share Linked Interest Certificates: (m) ETI Linked Interest Certificates: (n) Debt Linked Interest Certificates: (o) Commodity Linked Interest Certificates: (p) Inflation Index Linked Interest Certificates: (q) Currency Linked Interest Certificates: (r) Fund Linked Interest Certificates: (s) Futures Linked Interest As per Conditions As specified in Condition 1. As set out in 25 (c) above. As set out in 25 (d) above. Single Index Basis. Single Index Basis. 14 / 20

15 Certificates: (t) Underlying Interest Rate Linked Interest Certificates: (u) Instalment Certificates: (v) Issuer Call Option: (w) Holder Put Option: (x) Automatic Early Redemption: (y) Renouncement Notice Cut-off Time: The Certificates are not Instalment Certificates. (z) Strike Date: 20 July (aa) Strike Price: (bb) Redemption Valuation Date: 20 July (cc) Averaging: (dd) Observation Dates: (ee) Observation Period: (ff) Settlement Business Day: (gg) Cut-off Date: (hh) Security Threshold on the Issue Date: Averaging does not apply to the Securities. (ii) Identification information of Holders as provided by Condition 29: DISTRIBUTION AND US SALES ELIGIBILITY 44. U.S. Selling Restrictions: 45. Additional U.S. Federal income tax consequences: 46. Registered broker/dealer: 47. TEFRA C or TEFRA Not Applicable: TEFRA Not Applicable. 48. Non exempt Offer: Applicable (i) Non-exempt Offer Jurisdictions: SWEDEN. (ii) Offer Period: 23 May 2016 until and including 01 July / 20

16 (iii) Financial intermediaries granted specific consent to use the Base Prospectus in accordance with the Conditions in it: (iv) General Consent: SIP Nordic Fondkomission AB Kungsgatan Stockholm Sweden (v) Other Authorised Offeror Terms: PROVISIONS RELATING TO COLLATERAL AND SECURITY 49. Collateral Security Conditions: Responsibility The Issuer accepts responsibility for the information contained in these Final Terms. To the best of the knowledge of the Issuer (who has taken all reasonable care to ensure that such is the case), the information contained herein is in accordance with the facts and does not omit anything likely to affect the import of such information. Signed on behalf of BNP Paribas Arbitrage Issuance B.V. As Issuer: By:.. Duly authorised 16 / 20

17 PART B - OTHER INFORMATION 1. Listing and Admission to trading Application will be made to list the Securities and to admit the Securities for trading on the Nordic Derivatives Exchange of the Nordic Growth Market NGM AB. 2. Ratings The Securities have not been rated. 3. Interests of Natural and Legal Persons Involved in the Issue Save as discussed in the "Potential Conflicts of Interest" paragraph in the "Risk Factors" in the Base Prospectus, so far as the Issuer is aware, no person involved in the offer of the Securities has an interest material to the offer. 4. Performance of Underlying/Formula/Other Variable and Other Information concerning the Underlying Reference See Base Prospectus for an explanation of effect on value of Investment and associated risks in investing in Securities. Information on the Index shall be available on the Index Sponsor website as set out in below Past and further performances of the Index are available on the Index Sponsor website as set out below, and its volatility may be obtained from the Calculation Agent by ing eqd.nordic@uk.bnpparibas.com The Issuer does not intend to provide post-issuance information. Place where information on the Underlying Index can be obtained: OMXS30 TM Website: Index Disclaimer Neither the Issuer nor the Guarantor shall have any liability for any act or failure to act by an Index Sponsor in connection with the calculation, adjustment or maintenance of an Index. Except as disclosed prior to the Issue Date, neither the Issuer, the Guarantor nor their affiliates has any affiliation with or control over an Index or Index Sponsor or any control over the computation, composition or dissemination of an Index. Although the Calculation Agent will obtain information concerning an Index from publicly available sources it believes reliable, it will not independently verify this information. Accordingly, no representation, warranty or undertaking (express or implied) is made and no responsibility is accepted by the Issuer, the Guarantor, their affiliates or the Calculation Agent as to the accuracy, completeness and timeliness of information concerning an Index. OMXS30 TM Index The Product(s) is not sponsored, endorsed, sold or promoted by The NASDAQ OMX Group, Inc. or its affiliates (NASDAQ OMX, with its affiliates, are referred to as the "Corporations"). The Corporations have not passed on the legality or suitability of, or the accuracy or adequacy of descriptions and disclosures relating to, the Product(s). The Corporations make no representation or warranty, express or implied to the owners of the Product(s) or any member of the public regarding the advisability of investing in securities generally or in the Product(s) particularly, or the ability of the OMXS30 Index to track general stock market performance. The Corporations' only relationship to BNP Paribas ("Licensee") is in the licensing of the NASDAQ, OMX, NASDAQ OMX, OMXS30, and OMXS30 Index registered trademarks and certain trade names of the Corporations and the use of the OMXS30 Index which is determined, composed and calculated by NASDAQ OMX without regard to Licensee or the Product(s). NASDAQ OMX has no obligation to take the needs of the Licensee or the owners of the Product(s) into consideration in determining, composing or calculating the OMXS30 Index. The Corporations are not responsible for and have not participated in the determination of the timing of, prices at, or quantities of the Product(s) to be issued or in the determination or calculation of the equation by which the Product(s) is to be converted into cash. The Corporations have no liability in connection with the administration, marketing or trading of the Product(s). The Corporations do not guarantee the accuracy and/or uninterrupted calculation of the OMXS30 Index or any data 17 / 20

18 included therein. The Corporations make no warranty, express or implied, as to results to be obtained by Licensee, owners of the product(s), or any other person or entity from the use of the OMXS30 Index or any data included therein. The Corporations make no express or implied warranties, and expressly disclaim all warranties of merchantability or fitness for a particular purpose or use with respect to the OMXS30 Index or any data included therein. Without limiting any of the foregoing, in no event shall the Corporations have any liability for any lost profits or special, incidental, punitive, indirect, or consequential damages, even if notified of the possibility of such damages. 5. Operational Information Relevant Clearing System(s): If other than Euroclear Bank S.A./N.V., Clearstream Banking, société anonyme, Euroclear France include the relevant identification number and in the case of the Swedish Demateralised Securities, the Swedish Security Agent: 6. Terms and Conditions of the Public Offer Offer Price: Conditions to which the offer is subject: Description of the application process: Details of the minimum and/or maximum amount of application: Euroclear Sweden. Identification number: Swedish Security Agent: Svenska Handelsbanken AB (publ) Address: Blasieholmstorg 12 SE Stockholm Sweden Issue Price The Issuer reserves the right to modify the total nominal amount of the Certificates to which investors can subscribe, withdraw the offer of the Securities and cancel the issuance of the Securities for any reason, in accordance with the Distributor at any time on or prior to the Issue Date. For the avoidance of doubt, if any application has been made by a potential investor and the Issuer exercises such a right, each such potential investor shall not be entitled to subscribe or otherwise acquire the Securities. Such an event will be notified to investors via the following link: The Issuer will in its sole discretion determine the final amount of Securities issued up to a limit of up to 4,000 Securities. The final amount that are issued on the Issue Date will be listed on the NASDAQ OMX Stockholm A.B.. Securities will be allotted subject to availability in the order of receipt of investors' applications. The final amount of the Securities issued will be determined by the Issuer in light of prevailing market conditions, and in its sole and absolute discretion depending on the number of Securities which have been agreed to be purchased as of the Issue Date. Application to subscribe for the Securities can be made in SWEDEN through the Authorised Offeror. The distribution activity will be carried out in accordance with the usual procedures of the Authorised Offeror Prospective investors will not be required to enter into any contractual arrangements directly with the Issuer in relation to the subscription for the Securities. Minimum purchase amount per investor: One (1) Certificate. Maximum subscription amount per investor: The number of Securities issued as set out in SPECIFIC PROVISIONS FOR EACH SERIES in Part A. The maximum amount of application of Securities will be subject only to 18 / 20

19 availability at the time of the application. There are no pre-identified allotment criteria. The Authorised Offeror will adopt allotment criteria that ensure equal treatment of prospective investors. All of the Securities requested through the Authorised Offeror during the Offer Period will be assigned up to the maximum amount of the Offer. In the event that during the Offer Period the requests exceed the total amount of the offer destined to prospective investors the Issuer, in accordance with the Authorised Offeror, will proceed to early terminate the Offer Period and will immediately suspend the acceptance of further requests. Description of possibility to reduce subscriptions and manner for refunding excess amount paid by applicants: Details of the method and time limits for paying up and delivering Securities: Manner in and date on which results of the offer are to be made public: Procedure for exercise of any right of preemption, negotiability of subscription rights and treatment of subscription rights not exercised: Process for notification to applicants of the amount allotted and indication whether dealing may begin before notification is made: Amount of any expenses and taxes specifically charges to the subscriber or purchaser: 7. Placing and Underwriting Name(s) and address(es), to the extent known to the issuer, of the placers in the various countries where the offer takes place: Name and address of the co-ordinator(s) of the global offer and of single parts of the offer: Name and address of any paying agents and The Securities will be issued on the Issue Date against payment to the Issuer by the Authorised Offeror of the gross subscription moneys. The Securities are cleared through the clearing systems and are due to be delivered through the Authorised Offeror on or around the Issue Date. Publication on the following website: on or around the Issue Date. In the case of over subscription, allotted amounts will be notified to applicants on the following website: on or around the Issue Date. No dealing in the Certificates may begin before any such notification is made. In all other cases, allotted amounts will be equal to the amount of the application, and no further notification shall be made. In all cases, no dealing in the Certificates may take place prior to the Issue Date. The Issuer is not aware of any expenses and taxes specifically charged to the subscriber. The Authorised Offerors identified in Paragraph 48 of Part A and identifiable from the Base Prospectus 19 / 20

20 depository agents in each country (in addition to the Principal Paying Agent): Entities agreeing to underwrite the issue on a firm commitment basis, and entities agreeing to place the issue without a firm commitment or under "best efforts" arrangements: When the underwriting agreement has been or will be reached: No underwriting commitment is undertaken by the Authorised Offeror 20 / 20

21 ISSUE SPECIFIC SUMMARY OF THE PROGRAMME IN RELATION TO THIS BASE PROSPECTUS Summaries are made up of disclosure requirements known as "Elements". These Elements are numbered in Sections A E (A.1 E.7). This Summary contains all the Elements required to be included in a summary for this type of Securities, Issuer and Guarantor. Because some Elements are not required to be addressed, there may be gaps in the numbering sequence of the Elements. Even though an Element may be required to be inserted in the summary because of the type of Securities, Issuer and Guarantor(s), it is possible that no relevant information can be given regarding the Element. In this case a short description of the Element should be included in the summary explaining why it is not applicable. Section A - Introduction and warnings Element Title A.1 Warning that the summary should be read as an introduction and provision as to claims This summary should be read as an introduction to the Base Prospectus and the applicable Final Terms. In this summary, unless otherwise specified and except as used in the first paragraph of Element D.3, "Base Prospectus" means the Base Prospectus of BNPP B.V., BNPP, BP2F, BNPPF and BGL dated 9 June 2015 as supplemented from time to time. In the first paragraph of Element D.3, "Base Prospectus" means the Base Prospectus of BNPP B.V., BNPP, BP2F, BNPPF and BGL dated 9 June Any decision to invest in any Securities should be based on a consideration of the Base Prospectus as a whole, including any documents incorporated by reference and the applicable Final Terms. Where a claim relating to information contained in the Base Prospectus and the applicable Final Terms is brought before a court in a Member State of the European Economic Area, the plaintiff may, under the national legislation of the Member State where the claim is brought, be required to bear the costs of translating the Base Prospectus and the applicable Final Terms before the legal proceedings are initiated. No civil liability will attach to the Issuer or the Guarantor in any such Member State solely on the basis of this summary, including any translation hereof, unless it is misleading, inaccurate or inconsistent when read together with the other parts of the Base Prospectus and the applicable Final Terms or, following the implementation of the relevant provisions of Directive 2010/73/EU in the relevant Member State, it does not provide, when read together with the other parts of the Base Prospectus and the applicable Final Terms, key information (as defined in Article 2.1(s) of the Prospectus Directive) in order to aid investors when considering whether to invest in the Securities. A.2 Consent as to use the Base Prospectus, period of validity and other conditions attached Consent: Subject to the conditions set out below, the Issuer consents to the use of the Base Prospectus in connection with a Non-exempt Offer of Securities by the Managers and SIP Nordic and Identified as an Authorised Offeror in respect of the relevant Non-exempt Offer. Offer period: The Issuer's consent referred to above is given for Non-exempt Offers of Securities from 23 May 2016 to 01 July 2016 (the "Offer Period"). Conditions to consent: The conditions to the Issuer's consent are that such consent (a) is only valid during the Offer Period; and (b) only extends to the use of the Base 1 / 22

22 Element Title Prospectus to make Non-exempt Offers of the relevant Tranche of Securities in the Kingdom of Sweden. AN INVESTOR INTENDING TO PURCHASE OR PURCHASING ANY SECURITIES IN A NON-EXEMPT OFFER FROM AN AUTHORISED OFFEROR WILL DO SO, AND OFFERS AND SALES OF SUCH SECURITIES TO AN INVESTOR BY SUCH AUTHORISED OFFEROR WILL BE MADE, IN ACCORDANCE WITH THE TERMS AND CONDITIONS OF THE OFFER IN PLACE BETWEEN SUCH AUTHORISED OFFEROR AND SUCH INVESTOR INCLUDING ARRANGEMENTS IN RELATION TO PRICE, ALLOCATIONS, EXPENSES AND SETTLEMENT. THE RELEVANT INFORMATION WILL BE PROVIDED BY THE AUTHORISED OFFEROR AT THE TIME OF SUCH OFFER. Section B - Issuer and Guarantor Element Title B.1 Legal and commercial name of the Issuer B.2 Domicile/ legal form/ legislation/ country of incorporation BNP Paribas Arbitrage Issuance B.V. ("BNPP B.V." or the "Issuer"). The Issuer was incorporated in the Netherlands as a private company with limited liability under Dutch law having its registered office at Herengracht 595, 1017CE Amsterdam, the Netherlands B.4b Trend information BNPP B.V. is dependent upon BNPP. BNPP B.V. is a wholly owned subsidiary of BNPP specifically involved in the issuance of securities such as Notes, Warrants or Certificates or other obligations which are developed, setup and sold to investors by other companies in the BNPP Group (including BNPP). The securities are hedged by acquiring hedging instruments from BNP Paribas and BNP Paribas entities as described in Element D.2 below. As a consequence, the Trend Information described with respect to BNPP shall also apply to BNPP B.V. B.5 Description of the Group B.9 Profit forecast or estimate B.10 Audit report qualifications BNPP B.V. is a wholly owned subsidiary of BNP Paribas. BNP Paribas is the ultimate holding company of a group of companies and manages financial operations for those subsidiary companies (together the "BNPP Group"). Not applicable, as there are no profit forecasts or estimates made in respect of the Issuer in the Base Prospectus to which this Summary relates. Not applicable, there are no qualifications in any audit report on the historical financial information included in the Base Prospectus. B.12 Selected historical key financial information: Comparative Annual Financial Data - In EUR 31/12/ /12/2013 Revenues 432, ,608 Net Income, Group Share 29,043 26,749 2 / 22

23 Element Title Total balance sheet 64,804,833,465 48,963,076,836 Shareholders' equity (Group Share) 445, ,163 Comparative Interim Financial Data - In EUR 30/06/ /06/2014 Revenues 158, ,961 Net Income, Group Share 10,233 14,804 30/06/ /12/2014 Total balance sheet 51,184,742,227 64,804,833,465 Shareholders' equity (Group Share) 455, ,206 Statements of no significant or material adverse change There has been no significant change in the financial or trading position of the BNPP Group since 31 December 2015 (being the end of the last financial period for which interim financial statements have been published). There has been no material adverse change in the prospects of BNPP or the BNPP Group since 31 December 2015 (being the end of the last financial period for which audited financial statements have been published). There has been no significant change in the financial or trading position of BNPP B.V. since 30 June 2015 and there has been no material adverse change in the prospects of BNPP B.V. since 31 December B.13 Events impacting the Issuer's solvency B.14 Dependence upon other group entities Not applicable, as at 10 September 2015 and to the best of the Issuer's knowledge, there have not been any recent events which are to a material extent relevant to the evaluation of the Issuer's solvency since 30 June The Issuer is dependent upon BNPP and other members of the BNPP Group. See also Element B.5 above. BNPP B.V. is dependent upon BNPP. BNPP B.V. is a wholly owned subsidiary of BNPP specifically involved in the issuance of securities such as Notes, Warrants or Certificates or other obligations which are developed, setup and sold to investors by other companies in the BNPP Group (including BNPP). The securities are hedged by acquiring hedging instruments from BNP Paribas and BNP Paribas entities as described in Element D.2 below. B.15 Principal activities The principal activity of the Issuer is to issue and/or acquire financial instruments of any nature and to enter into related agreements for the account of various entities within the BNPP Group. B.16 Controlling shareholders B.17 Solicited credit ratings BNP Paribas holds 100 per cent. of the share capital of the Issuer. BNPP B.V.'s long term credit rating are A with a stable outlook (Standard & Poor's Credit Market Services France SAS) and BNPP B.V.'s short term credit rating are A- 1 (Standard & Poor's Credit Market Services France SAS). 3 / 22

24 Element Title The Securities have not been rated. A security rating is not a recommendation to buy, sell or hold securities and may be subject to suspension, reduction or withdrawal at any time by the assigning rating agency. B.18 Description of the Guarantee The Securities will be unconditionally and irrevocably guaranteed by BNP Paribas ("BNPP" or the "Guarantor") pursuant to an English law deed of guarantee executed by BNPP on or around 9 June 2015 (the "Guarantee"). In the event of a bail-in of BNPP B.V. but not BNPP, the obligations and/or amounts owed by BNPP under the guarantee shall be reduced to reflect any such reduction or modification resulting from the application of a bail-in of BNPP B.V. by a relevant regulator. In the event of a bail-in of BNPP but not BNPP B.V., the obligations and/or amounts owed by BNPP under the guarantee shall be reduced to reflect any such modification or reduction applied to securities issued by BNPP resulting from the application of a bail-in of BNPP by any relevant regulator. The obligations under the guarantee are direct unconditional, unsecured and unsubordinated obligations of BNPP and rank and will rank pari passu among themselves and at least pari passu with all other direct, unconditional, unsecured and unsubordinated indebtedness of BNPP (save for statutorily preferred exceptions). B.19 Information about the Guarantor B.19/ B.1 Legal and commercial name of the Guarantor B.19/ B.2 Domicile/ legal form/ legislation/ country of incorporation BNP Paribas. The Guarantor was incorporated in France as a société anonyme under French law and licensed as a bank having its head office at 16, boulevard des Italiens Paris, France. B.19/ B.4b Trend information Macroeconomic environment Macroeconomic and market conditions affect the Bank s results. The nature of the Bank s business makes it particularly sensitive to macroeconomic and market conditions in Europe, which have been at times challenging and volatile in recent years. In 2015, the global economic activity remained sluggish. Growth slowed down in emerging countries, while modest recovery continued in developed countries. The global outlook is still impacted by three major transitions: the slowing economic growth in China, the fall in prices of energy and other commodities, and the initial tightening of the US monetary policy in a context of resilient internal recovery, while the central banks of several major developed countries are continuing to ease their monetary policies. For 2016, the IMF 1 is forecasting the progressive recovery of global economic activity but with low growth prospects on the medium term in developed and emerging countries. In that context, two risks can be identified: 1 See: IMF October 2015 Financial Stability Report, Advanced Countries and January 2016 update 4 / 22

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