ESMA FIRDS · Issuer
LEI 635400Z5LQ5F9OLVT688
2 bonds and equity instruments issued under LEI 635400Z5LQ5F9OLVT688 as reported in ESMA FIRDS. Primary trading venue: MANL. Currencies: USD, EUR.
2 instruments · LEI: 635400Z5LQ5F9OLVT688
Sample instruments
| ISIN | Name | Asset class | Currency | Venue |
|---|---|---|---|---|
| US62856RAC97 | PRXNA 5.500 7/25 c25 (144a) MYRIAD INTERNATIONAL HOLDINGS BV | Equity derivatives | USD | MANL |
| US74365PAA66 | PRXNA 3.68 01/21/30 BOND | Equity derivatives | USD | MANL |
| US74365PAE88 | PRXNA 3.832 02/08/51 BOND | Equity derivatives | USD | MANL |
| US74365PAG37 | PRXNA 3.257 01/19/27 BOND | Equity derivatives | USD | BTFE |
| US74365PAH10 | PRXNA 4.193 01/19/32 BOND | Equity derivatives | USD | MANL |
| US74365PAJ75 | PRXNA 4.987 01/19/52 BOND | Equity derivatives | USD | BTFE |
| USN7163RAA16 | PRXNA 3.68 01/21/30 | Equity derivatives | USD | MANL |
| USN7163RAQ67 | PRXNA 3.832 02/08/51 | Equity derivatives | USD | BTFE |
| USN7163RAW36 | PRXNA 3.257 01/19/27 | Equity derivatives | USD | BTFE |
| USN7163RAX19 | PRXNA 4.193 01/19/32 REGS | Equity derivatives | USD | BTFE |
| USN7163RAY91 | PRXNA 4.987 01/19/52 | Equity derivatives | USD | BTFE |
| US74365PAK49 | PRXNA 5.528 07/13/33 BOND | Equity derivatives | USD | BTFE |
| US74365PAL22 | PRXNA 5.873 07/13/36 BOND | Equity derivatives | USD | BTFE |
| USN7163RBG76 | PRXNA 5.528 07/13/33 BOND | Equity derivatives | USD | BTFE |
| USN7163RBH59 | PRXNA 5.873 07/13/36 BOND | Equity derivatives | USD | BTFE |
| US62856RAD70 | PRXNA 4.850 7/27 c26 (144a) MYRIAD INTERNATIONAL HOLDINGS BV | Equity derivatives | USD | MANL |
| US74365PAD06 | PRXNA 4.027 08/03/50 BOND | Equity derivatives | USD | MANL |
| US74365PAF53 | PRXNA 3.061 07/13/31 BOND | Equity derivatives | USD | BTFE |
| USN5946FAD98 | PRXNA 4.85 07/06/27 | Equity derivatives | USD | BTFE |
| USN7163RAD54 | PRXNA 4.027 08/03/50 | Equity derivatives | USD | MANL |
| USN7163RAR41 | PRXNA 3.061 07/13/31 | Equity derivatives | USD | BTFE |
| XS2211114942 | PRXNA 1.539 08/03/28 BOND | Equity derivatives | EUR | BTFE |
| XS2211115329 | PRXNA 2.031 08/03/32 BOND | Equity derivatives | EUR | BTFE |
| XS2211183244 | PRXNA 1.539 08/03/28 REGS | Equity derivatives | EUR | BTFE |
| XS2211183756 | PRXNA 2.031 08/03/32 | Equity derivatives | EUR | BTFE |
| XS2263801164 | PRXNA 1.539 08/03/28 BOND | Equity derivatives | EUR | BTFE |
| XS2263802212 | PRXNA 2.031 08/03/32 BOND | Equity derivatives | EUR | BTFE |
| XS2360853332 | PRXNA 1.288 07/13/29 | Equity derivatives | EUR | XEYE |
| XS2361047454 | PRXNA 1.288 07/13/29 BOND | Equity derivatives | EUR | XEYE |
| XS2363203089 | PRXNA 1.985 07/13/33 | Equity derivatives | EUR | XEYE |
| XS2363203675 | PRXNA 1.985 07/13/33 BOND | Equity derivatives | EUR | XEYE |
| XS2430287362 | PRXNA 2.085 01/19/30 REGS | Equity derivatives | EUR | BTFE |
| XS2430287875 | PRXNA 2.778 01/19/34 REGS | Equity derivatives | EUR | BTFE |
| XS2433208019 | PRXNA 2.085 01/19/30 BOND | Equity derivatives | EUR | BTFE |
| XS2433210007 | PRXNA 2.778 01/19/34 BOND | Equity derivatives | EUR | BTFE |
| XS3104529048 | PRXNA 4.343 07/15/35 | Equity derivatives | EUR | BTFE |
| US74365P1084 | Prosus N.V. Reg.Shares (Spons.ADRs) /1/1 | Equity | USD | FRAB |
| NL0013654783 | Prosus NV | Equity | EUR | XAMS |
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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