ESMA FIRDS · Issuer
LEI 549300PZMFIQR79Q0T97
1 bonds and equity instruments issued under LEI 549300PZMFIQR79Q0T97 as reported in ESMA FIRDS. Primary trading venue: XMSM. Currencies: EUR, ISK, SEK, NOK.
1 instruments · LEI: 549300PZMFIQR79Q0T97
Sample instruments
| ISIN | Name | Asset class | Currency | Venue |
|---|---|---|---|---|
| XS2530443659 | ISLBAN 3 09/20/27 | Equity derivatives | EUR | XMSM |
| XS2496201653 | ISLAN FLOAT 29/06/27 | Equity derivatives | EUR | XMSM |
| IS0000028827 | ISB CBI 30 | Equity derivatives | ISK | XICE |
| IS0000030948 | ISB CBI 28 | Equity derivatives | ISK | XICE |
| IS0000032233 | ISB CB 27 | Equity derivatives | ISK | XICE |
| IS0000035087 | ISB CBI 29 | Equity derivatives | ISK | XICE |
| IS0000037059 | ISB CBI 32 | Equity derivatives | ISK | XICE |
| IS0000037612 | ISB CB 31 | Equity derivatives | ISK | XICE |
| XS0221640070 | ISLANDBANKI 0%PL | Equity derivatives | EUR | XAMS |
| IS0000034684 | ISB GB 27 1122 | Equity derivatives | ISK | XICE |
| IS0000035913 | ISB 28 1221 | Equity derivatives | ISK | XICE |
| IS0000036952 | ISB 36 1114 GB | Equity derivatives | ISK | XICE |
| IS0000034494 | ISB T2 33 0417 | Equity derivatives | ISK | XICE |
| IS0000034502 | ISB T2I 33 0417 | Equity derivatives | ISK | XICE |
| IS0000035475 | ISB T2I 34 0912 | Equity derivatives | ISK | XICE |
| XS2390396427 | ISLBAN Float PERP BOND | Equity derivatives | SEK | XEYE |
| IS0000033900 | ISB CBF 27 | Equity derivatives | ISK | XICE |
| IS0000038909 | ISB CBF 28 | Equity derivatives | ISK | XICE |
| IS0000034692 | ISB GBF 27 1122 | Equity derivatives | ISK | XICE |
| NO0013132159 | ISLBAN Float 01/25/27 BOND | Equity derivatives | NOK | XMSM |
| NO0013271072 | ISLANDSBANKI HF. Issue of NOK 200,000,000 Floating Rate Notes due July 2027 | Equity derivatives | NOK | XMSM |
| NO0013755264 | ISLANDSBANKI HF. Issue of NOK 600,000,000 Senior Preferred Green Floating Rate Notes due June 2029 | Equity derivatives | NOK | XMSM |
| NO0013697425 | ISLAN 7.790 Perp '30 FRN | Equity derivatives | NOK | XSTO |
| NO0013697466 | ISLBAN Float PERP BOND | Equity derivatives | SEK | XSTO |
| XS3028099417 | ISLBAN 3 7/8 09/20/30 | Equity derivatives | EUR | XMSM |
| XS3225866121 | ISLBAN 3 3/4 11/11/32 | Equity derivatives | EUR | XMSM |
| XS2792180197 | ISLBAN 4 5/8 03/27/28 | Equity derivatives | EUR | XMSM |
| XS2325591365 | ISLBAN 3/26/25 (URegS,FRN) ISLANDSBANKI | Equity derivatives | SEK | MANL |
| NO0013458000 | ISLANDSBANKI HF. Issue of NOK 200,000,000 Senior Preferred Floating Rate Notes due July 2027 | Equity derivatives | NOK | XMSM |
| NO0013458018 | ISLANDSBANKI HF. Issue of NOK 100,000,000 Senior Preferred Floating Rate Notes due July 2028 | Equity derivatives | NOK | XMSM |
| XS2715286394 | ISLBAN Float 11/08/26 BOND | Equity derivatives | SEK | XMSM |
| XS2751578050 | ISLBAN Float 01/25/27 BOND | Equity derivatives | SEK | XMSM |
| XS2853540560 | ISLBAN Float 07/02/27 BOND | Equity derivatives | SEK | XMSM |
| XS2978794134 | ISLBAN Float 07/17/28 BOND | Equity derivatives | SEK | XMSM |
| XS2978800980 | ISLANDSBANKI HF. Issue of SEK 200,000,000 FRN Senior Preferred Notes due July 2027 | Equity derivatives | SEK | XMSM |
| XS3404490610 | ISLANDSBANKI HF. Issue of SEK 1,400,000,000 Senior Preferred Green Floating Rate Notes due June 2029 | Equity derivatives | SEK | XMSM |
| XS1722683072 | ISLANDSBANKI HF. Issue of SEK 750,000,000 Floating Rate Tier 2 Notes due 23 November 2027 | Equity derivatives | SEK | XMSM |
| IS0000028538 | Íslandsbanki hf. | Equity | ISK | DICE |
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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