ESMA FIRDS · Issuer
LEI 5493000C01ZX7D35SD85
8 bonds and equity instruments issued under LEI 5493000C01ZX7D35SD85 as reported in ESMA FIRDS. Primary trading venue: MANL. Currencies: JPY, EUR, USD, CAD, AUD.
8 instruments · LEI: 5493000C01ZX7D35SD85
Sample instruments
| ISIN | Name | Asset class | Currency | Venue |
|---|---|---|---|---|
| XS2919188834 | BRK 1.031 12/08/27 BOND | Equity derivatives | JPY | MANL |
| XS2919192786 | BRK 2 5/8 10/23/54 BOND | Equity derivatives | JPY | BTFE |
| XS2920393282 | BRK 2.577 10/23/52 BOND | Equity derivatives | JPY | BTFE |
| XS3043427064 | BRK 2.09 04/17/35 BOND | Equity derivatives | JPY | BTFE |
| XS3043428112 | BRK 3.117 04/15/55 BOND | Equity derivatives | JPY | BTFE |
| XS3339722046 | BRK 2.077 04/25/29 BOND | Equity derivatives | JPY | BTFE |
| XS3339723440 | BRK 2.465 04/25/31 BOND | Equity derivatives | JPY | BTFE |
| XS3339725650 | BRK 3.084 04/25/36 BOND | Equity derivatives | JPY | BTFE |
| XS1200679071 | BRK 1 1/8 03/16/27 | Equity derivatives | EUR | STUB |
| XS1200679667 | BRK 1 5/8 03/16/35 | Equity derivatives | EUR | MUND |
| XS1380334224 | BRK 2.15 03/15/28 | Equity derivatives | EUR | MUND |
| XS2280780771 | BRK 0 1/2 01/15/41 | Equity derivatives | EUR | BTFE |
| XS2049350411 | BRK 0.27 09/11/26 BOND | Equity derivatives | JPY | TPIR |
| XS2049404366 | BRK 0.44 09/13/29 BOND | Equity derivatives | JPY | BTFE |
| XS2049410090 | BRK 0.965 09/13/39 BOND | Equity derivatives | JPY | BTFE |
| XS2049410256 | BRK 1.108 09/13/49 BOND | Equity derivatives | JPY | BTFE |
| XS2150020043 | BRK 1.002 04/16/27 BOND | Equity derivatives | JPY | BTFE |
| XS2150021959 | BRK 1.585 04/16/40 BOND | Equity derivatives | JPY | BTFE |
| XS2150022171 | BRK 1.779 04/15/50 BOND | Equity derivatives | JPY | BTFE |
| XS2329014620 | BRK 0.173 4/15/26 BERKSHIRE | Equity derivatives | JPY | MANL |
| XS2329014976 | BRK 0.437 04/15/31 BOND | Equity derivatives | JPY | FRAB |
| XS2329015353 | BRK 0.969 04/15/41 BOND | Equity derivatives | JPY | FRAB |
| XS2433363848 | BRK 0.203 01/25/27 BOND | Equity derivatives | JPY | BTFE |
| XS2433364499 | BRK 0.472 01/23/32 BOND | Equity derivatives | JPY | BTFE |
| XS2433468787 | BRK 1.129 01/25/52 BOND | Equity derivatives | JPY | BTFE |
| XS2561168043 | BRK 1.029 12/08/27 BOND | Equity derivatives | JPY | BTFE |
| XS2561173399 | BRK 2.003 12/08/42 BOND | Equity derivatives | JPY | BTFE |
| XS2561173712 | BRK 2.368 12/06/52 BOND | Equity derivatives | JPY | BTFE |
| XS2611200978 | BRK 2.325 04/18/53 BOND | Equity derivatives | JPY | BTFE |
| XS2720042931 | BRK 0.955 11/27/26 BOND | Equity derivatives | JPY | BTFE |
| XS3339780911 | BRK 4.037 04/25/56 BOND | Equity derivatives | JPY | BTFE |
| XS2805271140 | BRK 0.974 04/23/27 BOND | Equity derivatives | JPY | MANL |
| XS2805271223 | BRK 1.143 04/25/29 BOND | Equity derivatives | JPY | BTFE |
| XS2805271496 | BRK 1.457 04/25/31 BOND | Equity derivatives | JPY | BTFE |
| XS2805271736 | BRK 1.68 04/25/34 BOND | Equity derivatives | JPY | BTFE |
| XS2805272031 | BRK 2.498 04/24/54 | Equity derivatives | JPY | BTFE |
| XS3227338103 | BRK 1.51 11/29/28 BOND | Equity derivatives | JPY | BTFE |
| XS3227338285 | BRK 1.826 11/29/30 BOND | Equity derivatives | JPY | BTFE |
| US084670BK32 | BRK 4 1/2 02/11/43 | Equity derivatives | USD | FRAB |
| US12189LAS07 | BNSF 4.9 04/01/44 BOND | Equity derivatives | USD | FRAB |
| US12189LAW19 | BNSF 4.15 04/01/45 BOND | Equity derivatives | USD | FRAB |
| US12189LAX91 | BNSF 4.7 09/01/45 BOND | Equity derivatives | USD | FRAB |
| US12189LAY74 | BNSF 3.650 9/1/25 c25 BURLINGTON NORTHN SANTA FE LLC | Equity derivatives | USD | MANL |
| US12189LAZ40 | BNSF 3.9 08/01/46 BOND | Equity derivatives | USD | FRAB |
| US12189LBA89 | BNSF 3 1/4 06/15/27 BOND | Equity derivatives | USD | FRAB |
| US12189LBB62 | BNSF 4 1/8 06/15/47 BOND | Equity derivatives | USD | FRAB |
| CA08465W1005 | Berkshire Hathaway Inc. Reg.Shs.(Canad.Dep.Rec.RegS) | Equity | CAD | FRAB |
| BRBERKBDR002 | BERKSHIRE HATHAWAY INC BDR | Equity | USD | UBSI |
| ARBCOM4603L1 | BERKSHIRE HATHAWAY INC CEDEAR | Equity | USD | UBSI |
| CA08466V1013 | Berkshire Hathaway Inc. Reg.Shs.(Canad.Depos.Receipts) | Equity | CAD | FRAB |
| US0846701086 | Berkshire Hathaway Inc. Registered Shares A DL 5 | Equity | USD | STUB |
| US0846707026 | Berkshire Hathaway B | Equity | USD | XETB |
| US5237684064 | Lee Enterprises Inc. Registered Shares DL 2 | Equity | USD | FRAB |
| AU0000048563 | BERKSHIRE HATHAWAY TRACRS | Equity | AUD | 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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