Senior Fixed Rate Notes due 27 June 2011
Issue Date: 27 June 2008
ISIN: XS0368222872 (the “Notes”)

26 June 2008

Pursuant to the Prospectus dated 3 June 2008 relating to the issue of the Notes by BNP Paribas, we hereby announce that following, and on the basis of, completion of the offer period (which commenced at 9:00 CET on 9 June 2008 and terminated at 16:00 CET on 25 June 2008): (i) the aggregate nominal amount of Notes to be issued is €1,822,772,000; and (ii) the net proceeds of issue are € 1,777,202,700.

BNP Paribas
16, boulevard des Italiens
75009 Paris