ESMA FIRDS · Issuer
LEI 529900S5R9YHJHYKKG94
2 bonds and equity instruments issued under LEI 529900S5R9YHJHYKKG94 as reported in ESMA FIRDS. Primary trading venue: XLUX. Currencies: USD, EUR, JPY, CZK.
2 instruments · LEI: 529900S5R9YHJHYKKG94
Sample instruments
| ISIN | Name | Asset class | Currency | Venue |
|---|---|---|---|---|
| XS0764314695 | CEZCP 5 5/8 04/03/42 BOND | Equity derivatives | USD | XLUX |
| US157214AB31 | CEZCP 5 5/8 04/03/42 BOND | Equity derivatives | USD | XLUX |
| XS2461786829 | CEZCP 2 ⅜ 04/06/27 EMTN | Equity derivatives | EUR | XLUX |
| XS2838370414 | CEZCP 4 ¼ 06/11/32 EMTN | Equity derivatives | EUR | XLUX |
| XS3040382098 | CEZ AS/4.125 MTN 20330430 REGS | Equity derivatives | EUR | XLUX |
| XS0940293763 | CEZCP 3 06/05/28 | Equity derivatives | EUR | XLUX |
| XS2084418339 | CEZ AS/0.875 MTN 20261202 SER-30 | Equity derivatives | EUR | XLUX |
| XS2894908768 | CEZCP 4 1/8 09/05/31 emtn | Equity derivatives | EUR | XLUX |
| XS0384970652 | Cez 3 005% 17 09 2038 | Equity derivatives | JPY | XLUX |
| XS0447067843 | Cez 2 845% 08 09 2039 | Equity derivatives | JPY | XLUX |
| XS0814711775 | CEZCP 4 3/8 08/08/42 | Equity derivatives | EUR | XLUX |
| XS0818793209 | CEZCP 4 1/2 08/20/47 BOND | Equity derivatives | EUR | XLUX |
| XS0822571799 | CEZCP 4.383 09/03/47 | Equity derivatives | EUR | XLUX |
| XS3373524050 | CEZCP 4 3/8 05/27/34 | Equity derivatives | EUR | XLUX |
| CZ0005112300 | CEZ AS | Equity | CZK | XRMZ |
| US1572141075 | CEZ A S 144A SPONSORED CZEC 144A GDR | Equity | CZK | UBSI |
Issuer pages are generated for entities that appear as issuers of bonds or equity instruments in ESMA FIRDS. Individual instrument classifications reflect ESMA's own CFI-based asset class assignments and may differ from economic substance. All instruments are searchable via the ISIN search.
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