ESMA FIRDS · Issuer

LEI 549300HOF34RGOJ5YL07

2 bonds and equity instruments issued under LEI 549300HOF34RGOJ5YL07 as reported in ESMA FIRDS. Primary trading venue: BTFE. Currencies: CHF, EUR, USD, BRL.

2 instruments · LEI: 549300HOF34RGOJ5YL07

Sample instruments

ISINNameAsset classCurrencyVenue
CH1533656240JEF 1.92 08/03/32 BONDEquity derivativesCHFBTFE
XS3435704575JEF 4 1/2 07/15/33 BONDEquity derivativesEURTPEU
US47233JCC09JEF 5 08/31/39 BONDEquity derivativesUSDBTFE
US47233JDX37JEF 2 3/4 10/15/32 BONDEquity derivativesUSDMANL
US47233JGT97JEF 2 5/8 10/15/31Equity derivativesUSDBTFE
US47233WBM01JEF 5 7/8 07/21/28Equity derivativesUSDBTFE
US47233WDP14JEF 6.2 03/18/34 BONDEquity derivativesUSDBTFE
US47233WEJ45JEF 6.2 04/14/34Equity derivativesUSDBTFE
US47233WHA09JEF 6 09/16/36 BONDEquity derivativesUSDBTFE
US47233WLL18JEF 5 1/2 02/15/36Equity derivativesUSDBTFE
US47233WMK26JEF 5 1/8 04/28/31 BONDEquity derivativesUSDBTFE
US47233WKS79JEF 4 1/2 09/15/26Equity derivativesUSDBTFE
US472319AC60JEF 6 1/4 01/15/36 BONDEquity derivativesUSDMANL
US472319AE27JEF 6.45 06/08/27 BONDEquity derivativesUSDFRAB
US472319AM43JEF 6 1/2 01/20/43 BONDEquity derivativesUSDMANL
US47233JAG31JEF 4.85 01/15/27Equity derivativesUSDTWEM
US47233JBH05JEF 4.15 01/23/30 BONDEquity derivativesUSDFRAB
US47233JCD81JEF 4.4 08/31/34 BONDEquity derivativesUSDBTFE
US47233JEP93JEF 4 02/26/46 BONDEquity derivativesUSDBTFE
US527288BF07JEF 6 5/8 10/23/43 BONDEquity derivativesUSDMANL
US47233JAT51JEF Float 07/31/37 BONDEquity derivativesUSDBTFE
US47233JAV08JEF Float 08/31/37 BONDEquity derivativesUSDMANL
US47233JBB35JEF 10 10/31/37Equity derivativesUSDBTFE
US47233JBE73JEF Float 12/28/37 BONDEquity derivativesUSDBTFE
US47233JBG22JEF Float 01/31/38 BONDEquity derivativesUSDBTFE
US47233JBJ60JEF Float 02/28/38 BONDEquity derivativesUSDBTFE
US47233JDA34JEF Float 03/20/40 BONDEquity derivativesUSDBTFE
US47233JBW71JEF Float 05/31/39 BONDEquity derivativesUSDBTFE
US47233JCA43JEF Float 07/31/42 BONDEquity derivativesUSDBTFE
US47233JDT25JEF 2 09/14/30 BONDEquity derivativesUSDBTFE
US47233JAL26JEF Float 04/28/33 BONDEquity derivativesUSDBTFE
US47233JAP30JEF Float 05/31/34 BONDEquity derivativesUSDBTFE
US47233JAY47JEF 8 09/30/37Equity derivativesUSDBTFE
XS1361110270JefferiesFinGr 4 1% 18 02 2034Equity derivativesEUREMTF
XS1748862379JEFFERIES FINANCIAL GROUP INC. Issue of EUR 15,000,000 Fixed Rate Callable Notes due 19 January 2043Equity derivativesEURXMSM
XS2050524706JEFFERIES FINANCIAL GROUP INC. Issue of EUR 9,000,000 Fixed Rate Callable Notes due 06 September 2039Equity derivativesEURXMSM
XS2410359058JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Fixed Rate Callable Notes due 18 November 2041Equity derivativesEURXMSM
XS2479987302JEF 3.43 05/13/52 BONDEquity derivativesEURXMSM
XS2704594717JEF 5.02 10/16/33 BONDEquity derivativesEURXMSM
XS2801963716JEF 4 04/16/29Equity derivativesEURBTFE
XS2969267876JEFFERIES FINANCIAL GROUP INC. Issue of EUR 15,000,000 Leveraged Steepener CMS Rate Floating Rate Notes due 7 January 2037Equity derivativesEURXMSM
XS2969271803JEFFERIES FINANCIAL GROUP INC. Issue of EUR 15,000,000 Inverse CMS Rate Floating Rate Notes due 7 January 2037Equity derivativesEURXMSM
XS3072360103JEFFERIES FINANCIAL GROUP INC. Issue of EUR 44,000,000 Fixed Rate Callable Notes due 14 May 2037Equity derivativesEURXMSM
XS3079967405JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Callable Zero Coupon Notes due 23 May 2049Equity derivativesEURXMSM
XS3084275521JEFFERIES FINANCIAL GROUP INC. Issue of EUR 10,000,000 Callable Zero Coupon Notes due 29 May 2049Equity derivativesEURXMSM
XS3113516481JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Callable Zero Coupon Notes due 8 July 2050Equity derivativesEURXMSM
XS3258454225JEFFERIES FINANCIAL GROUP INC. Issue of EUR 13,000,000 Callable Zero Coupon Notes due 2 January 2046Equity derivativesEURXMSM
XS3291939935JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,700,000 Fixed-to-Floating Rate Notes due 6 February 2036Equity derivativesEURXMSM
XS3321409578JEFFERIES FINANCIAL GROUP INC. Issue of EUR 1,500,000 Leveraged Steepener CMS Rate Floating Rate Notes due 19 March 2038Equity derivativesEURXMSM
XS3334179952JEFFERIES FINANCIAL GROUP INC. Issue of EUR 3,000,000 Fixed Rate Callable Notes due 2 April 2046Equity derivativesEURXMSM
XS3388352133JEFFERIES FINANCIAL GROUP INC. Issue of EUR 800,000 12 Year Fixed to Inverse Floating Rate Notes due 27 May 2038Equity derivativesEURXMSM
XS1725887944JEF 3 12/13/47 BONDEquity derivativesEURBTFE
XS2082472809JEFFERIES FINANCIAL GROUP INC. Issue of EUR 100,000,000 Fixed Rate Callable Notes due 21 November 2042Equity derivativesEURXMSM
XS2160996133JEF 4 1/2 05/04/40 BONDEquity derivativesEURXMSM
XS2294481614JEFFERIES FINANCIAL GROUP INC. Issue of EUR 13,000,000 Callable Fixed Rate Notes due 5 February 2036Equity derivativesEURXMSM
XS2399243364JEF 2.11 10/15/41 BONDEquity derivativesEURXMSM
XS1559529380JEFFERIES FINANCIAL GROUP INC. Issue of EUR 10,000,000 Variable Rate Notes due 09th February 2032Equity derivativesEURXMSM
XS2054600981JEFFERIES FINANCIAL GROUP INC. Issue of EUR 75,000,000 Variable Rate Notes due 20 September 2034Equity derivativesEURXMSM
XS2095879479JEFFERIES FINANCIAL GROUP INC. Issue of EUR 30,000,000 Variable Rate Notes due 23 December 2039Equity derivativesEURXMSM
XS2250525818JEF Float 10/29/37 BONDEquity derivativesEURXMSM
XS3451596145JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Floating Rate Notes due 24 July 2036Equity derivativesEURXMSM
XS3459110816JEFFERIES FINANCIAL GROUP INC. Issue of EUR 7,000,000 Fixed Rate Callable Notes due 15 December 2036Equity derivativesEURXMSM
US47233WLT44JEF 4.3 02/11/27Equity derivativesUSDBTFE
XS2338192128JEFFERIES FINANCIAL GROUP INC. Issue of EUR 13,000,000 Variable Rate Notes due 5 May 2036Equity derivativesEURXMSM
XS2968764618JEFFERIES FINANCIAL GROUP INC. Issue of EUR 20,000,000 Callable Zero Coupon Notes due 30 December 2049Equity derivativesEURXMSM
XS2982349636JEFFERIES FINANCIAL GROUP INC. Issue of EUR 30,000,000 Callable Zero Coupon Notes due 22 January 2050Equity derivativesEURXMSM
XS3000481617JEFFERIES FINANCIAL GROUP INC. Issue of EUR 40,000,000 Callable Zero Coupon Notes due 11 February 2050Equity derivativesEURXMSM
XS3021384600JEFFERIES FINANCIAL GROUP INC. Issue of EUR 25,000,000 Callable Zero Coupon Notes due 11 March 2055Equity derivativesEURXMSM
XS3155670253JEFFERIES FINANCIAL GROUP INC. Issue of EUR 15,000,000 Callable Zero Coupon Notes due 19 August 2055Equity derivativesEURXMSM
XS3166787187JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Callable Zero Coupon Notes due 26 August 2053Equity derivativesEURXMSM
XS3205685368JEFFERIES FINANCIAL GROUP INC. Issue of EUR 10,000,000 Callable Zero Coupon Notes due 14 October 2055Equity derivativesEURXMSM
XS3214874839JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Callable Zero Coupon Notes due 20 October 2055Equity derivativesEURXMSM
XS3338313334JEFFERIES FINANCIAL GROUP INC. Issue of EUR 12,500,000 Callable Zero Coupon Notes due 28 April 2056Equity derivativesEURXMSM
XS3385468668JEFFERIES FINANCIAL GROUP INC. Issue of EUR 5,000,000 Callable Zero Coupon Notes due 20 May 2053Equity derivativesEURXMSM
XS3406853856JEFFERIES FINANCIAL GROUP INC. Issue of EUR 7,000,000 Callable Zero Coupon Notes due 12 June 2051Equity derivativesEURXMSM
XS3408983115JEFFERIES FINANCIAL GROUP INC. Issue of EUR 500,000 Callable Zero Coupon Notes due 15 June 2051Equity derivativesEURXMSM
BRJ1EFBDR005JEFFERIES FINANCIAL GROUP BDREquityBRLUBSI
US47233W1099Jefferies Financial Group Inc. Registered Shares DL 1EquityUSDDUSB

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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