ESMA FIRDS · Issuer
LEI JU1U6S0DG9YLT7N8ZV32
2 bonds and equity instruments issued under LEI JU1U6S0DG9YLT7N8ZV32 as reported in ESMA FIRDS. Primary trading venue: XMSM. Currencies: EUR, USD.
2 instruments · LEI: JU1U6S0DG9YLT7N8ZV32
Sample instruments
| ISIN | Name | Asset class | Currency | Venue |
|---|---|---|---|---|
| PTBCQLOE0036 | BCPPL Float 04/23/26 BOND | Equity derivatives | EUR | XMSM |
| PTBCS3OE0028 | BCPPL Float 04/22/27 BOND | Equity derivatives | EUR | XEYE |
| PTBCSFOE0024 | BANCO COMERCIAL PORTUGUES S.A. EUR 2,000,000,000 Floating Rate Covered Bonds due 29 October 2030 | Equity derivatives | EUR | XMSM |
| PTBIPGOE0061 | BCPPL Float 10/18/24 BOND | Equity derivatives | EUR | XMSM |
| PTBCPFOM0043 | BCPPL 9 1/4 PERP | Equity derivatives | EUR | BTFE |
| PTBCPKOM0004 | BCPPL 8 1/8 PERP | Equity derivatives | EUR | BTFE |
| PTBCPLYM0050 | BCP EP AUDAZ | Equity derivatives | EUR | XMLI |
| PTBCP3YM0048 | BCP SLCT WORLD | Equity derivatives | EUR | XMLI |
| PTBCP4YM0039 | BCP SLCT EMERG | Equity derivatives | EUR | XMLI |
| PTBCP5YM0046 | BCP SCRD S&P500 | Equity derivatives | EUR | XMLI |
| PTBCP6YM0060 | BCP ESG ESTOXX50 | Equity derivatives | EUR | XMLI |
| PTBCP2OM0058 | Banco Comerc Portugues5.6252026-10-02EUR | Equity derivatives | EUR | LNFI |
| PTBCP7OM0004 | BCPPL 3 1/8 06/24/31 | Equity derivatives | EUR | XMSM |
| PTBCPCOM0004 | BCP SA/VAR OB 20291021 MTN862 | Equity derivatives | EUR | XMSM |
| PTBCPEOM0069 | BCPPL 1 3/4 04/07/28 | Equity derivatives | EUR | XMSM |
| PTBCPHOM0066 | BCPPL 1 1/8 02/12/27 BOND | Equity derivatives | EUR | SSOB |
| PTBCPNOM0043 | BCPPL 3 1/4 05/05/32 | Equity derivatives | EUR | XMSM |
| PTBCPOOM0034 | BCPPL 4 1/8 06/22/38 | Equity derivatives | EUR | XMSM |
| PTBCPGOM0067 | BCPPL 4 05/17/32 | Equity derivatives | EUR | XMSM |
| PTBCPJOM0056 | BCPPL 8 3/4 03/05/33 | Equity derivatives | EUR | XMSM |
| PTBCPMOM0051 | BCPPL 4 3/4 03/20/37 | Equity derivatives | EUR | XMSM |
| PTBCPWOM0034 | BCPPL 6.888 12/07/27 | Equity derivatives | EUR | XMSM |
| PTBIT3OM0098 | BCP 3.871 27/03/30 | Equity derivatives | EUR | SSOB |
| US0594798086 | BANCO PORTUGES UNSPON ADR REP 10 ORD | Equity | USD | UBSI |
| PTBCP0AM0015 | Banco Comercial Portugues SA | Equity | EUR | XLIS |
| PTBCPAYM0053 | BCP OURO EUR | Rights & warrants | EUR | XMLI |
| PTBCPYYM0055 | BCP EMERG MKTS EUR | Rights & warrants | EUR | XMLI |
| PTBCPZYM0047 | BCP NASDAQ100 EUR | Rights & warrants | EUR | XMLI |
| PTBIT4YM0087 | BCP EA CONSERVADOR | Rights & warrants | EUR | XMLI |
| PTBIT5YM0086 | BCP EA DINAMICA | Rights & warrants | EUR | XMLI |
| PTBIT7YM0043 | BCP EA EQUILIBRADA | Rights & warrants | EUR | XMLI |
| PTBIT8YM0042 | BCP EA MODERADA | Rights & warrants | EUR | XMLI |
| PTBIT9YM0041 | BCP EA VALORIZACAO | Rights & warrants | EUR | XMLI |
| PTBITEYE0034 | BCP DAX 30 | Rights & warrants | EUR | XMLI |
| PTBITHYM0080 | BCP S&P500 EUR | Rights & warrants | EUR | XMLI |
| PTBITTYE0094 | BCP MSCIWORLD | Rights & warrants | EUR | XMLI |
| PTBIVRYE0068 | BCP ESTOXX50 | Rights & warrants | EUR | XMLI |
| PTBIWKYE0023 | BCP CAC 40 | Rights & warrants | EUR | XMLI |
| PTBIXRYE0025 | BCP IBEX 35 | Rights & warrants | EUR | XMLI |
| PTBIY1YE0064 | BCP PSI 20 | Rights & warrants | EUR | XMLI |
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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