ISIN to LEI Match

ISIN


International Securities Identification Number (ISIN)
An International Securities Identification Number (ISIN) uniquely identifies a security. Its structure is defined in ISO 6166. Securities for which ISINs are issued include bonds, notes, certificates of deposit, commercial paper, stocks and warrants. The ISIN code is a 12-character alpha-numerical code that does not contain information characterizing financial instruments but serves for uniform identification of a security at trading and settlement.

Recent ISIN List

ISIN Code Issuer Name Security Type FX Term
XS2154663616 BOCI Financial Products Limited MTN USD USD 91d
XS2155329092 HSBC Bank plc MTN USD USD 185d
XS2155359917 First Abu Dhabi Bank P.J.S.C. CD EUR EUR 3d
XS2155367266 African Development Bank MTN SEK SEK 3y
XS2155489961 ING Bank NV MTN JPY JPY 5y
XS2155666923 Orbian Financial Services II, LLC CP EUR EUR 288d
XS2155675080 Orbian Financial Services II, LLC CP EUR EUR 58d
XS2155687929 Orbian Financial Services III, LLC CP USD USD 308d
XS2155804151 Agence Centrale de Organismes de Securite Sociale CP USD USD 56d
XS2087108937 Lagoon Park Capital SA MTN USD USD 178d
XS2061376815 BNP Paribas Issuance B.V. MTN JPY JPY 10y 69d
XS2076638084 Credit Suisse International [Milan] Bond SGD SGD 125d
XS2076667265 Credit Suisse International [Milan] Bond HKD HKD 90d
XS2076697254 Credit Suisse International [Milan] Bond HKD HKD 61d
XS2076726707 Credit Suisse International [Milan] Bond JPY JPY 184d
XS2121881408 DBS Bank Ltd MTN USD USD 29d
XS2123609880 JP Morgan Structured Products BV MTN HKD HKD 63d
XS2125540067 Goldman Sachs International MTN USD USD 187d
XS2125549282 Goldman Sachs International MTN USD USD 1y 7d
GB00BHLGMC12 United Kingdom Bill GBP GBP 182d
XS2064671006 Goldman Sachs International MTN HKD HKD 129d
CH0534157059 EFG International Finance (Guernsey) Ltd Bond EUR EUR 3y
XS1978263801 JP Morgan Structured Products BV MTN HKD HKD 310d
XS2139308345 UBS AG [London] Bond USD USD 190d
BE6321007021 Genk, Stad CP EUR EUR 24d
XS2112714006 SG Issuer S.A. Note EUR EUR 1y 364d
XS2118435275 Royal Bank of Canada [London] MTN JPY JPY 5y
XS2154603711 Banco Bradesco SA CD USD USD 30d
XS2155328953 HSBC Bank plc MTN USD USD 93d
XS2155359594 Matchpoint Finance plc CP EUR EUR 8d
XS2155366888 BOCI Financial Products Limited Note HKD HKD 45d
XS2155489888 ING Bank NV MTN USD USD 33d
XS2155666766 Orbian Financial Services II, LLC CP EUR EUR 238d
XS2155674943 Orbian Financial Services II, LLC CP EUR EUR 43d
XS2155687846 Orbian Financial Services III, LLC CP USD USD 301d
XS2155802379 Bank Nederlandse Gemeenten NV CP USD USD 210d
XS2087040015 BNP Paribas Issuance B.V. MTN USD USD 1y 91d
XS2061376732 BNP Paribas Issuance B.V. MTN JPY JPY 7y 60d
XS2076637193 Credit Suisse International [Milan] Bond USD USD 190d
XS2076664833 Credit Suisse International [Milan] Bond HKD HKD 185d
XS2076697171 Credit Suisse International [Milan] Bond USD USD 32d
XS2076725998 Credit Suisse International [Milan] Bond AUD AUD 28d
XS2121881077 DBS Bank Ltd MTN THB THB 25d
XS2123609708 JP Morgan Structured Products BV MTN HKD HKD 30d
XS2125539994 Goldman Sachs International MTN USD USD 91d
XS2125548474 Goldman Sachs International MTN EUR EUR 10y 79d
BE0002691724 Brussels Capital Region/Gewest Bond EUR EUR 30y
XS2131587839 DBS Bank Ltd MTN CNY CNY 1y 4d
CH0534157471 EFG International Finance (Guernsey) Ltd Bond USD USD 1y
XS1978263637 JP Morgan Structured Products BV MTN HKD HKD 280d
XS2139302819 UBS AG [London] Bond SGD SGD 1y 35d
BE6321006015 Liege, La Province De CP EUR EUR 29d
XS2112713966 Societe Generale SA MTN USD USD 61d
XS2118435192 Royal Bank of Canada [London] MTN JPY JPY 5y 1d
XS2154586874 HSBC Bank plc MTN USD USD 98d
XS2155328870 HSBC Bank plc MTN USD USD 93d
XS2155359248 Mitsubishi Corporation Finance Plc CP USD USD 62d
XS2155366706 Luminis Limited MTN USD USD 9y 241d
XS2155489706 Arlo XII Limited MTN JPY JPY 13y 160d
XS2155666501 Orbian Financial Services II, LLC CP EUR EUR 176d
XS2155674869 Agricultural Bank of China Ltd CD USD USD 91d
XS2155687762 Orbian Financial Services III, LLC CP USD USD 296d
XS2155801645 OP Corporate Bank plc CP USD USD 91d
XS2087039942 BNP Paribas Issuance B.V. MTN USD USD 1y 363d
XS2061376658 BNP Paribas Issuance B.V. MTN JPY JPY 5y 62d
XS2076634927 Credit Suisse International [Milan] Bond USD USD 95d
XS2076664593 Credit Suisse International [Milan] Bond SGD SGD 187d
XS2076696363 Credit Suisse International [Milan] Bond USD USD 90d
XS2076725725 Credit Suisse International [Milan] Bond USD USD 1y 7d
XS2121880772 DBS Bank Ltd MTN USD USD 29d
XS2123609617 JP Morgan Structured Products BV MTN HKD HKD 31d
XS2125539648 Goldman Sachs International MTN USD USD 187d
XS2125548391 Goldman Sachs International MTN HKD HKD 93d
BE0001796508 Flanders/Flemish Community MTN EUR EUR 10y
XS2131587672 DBS Bank Ltd MTN USD USD 279d
CH0534157463 EFG International Finance (Guernsey) Ltd Bond USD USD 1y
XS1978263553 JP Morgan Structured Products BV MTN HKD HKD 188d
XS2139302066 UBS AG [London] Bond JPY JPY 3y
BE6321005975 Liege, La Province De CP EUR EUR 91d
XS2112713883 SG Issuer S.A. MTN USD USD 2y 1d
XS2118434971 Royal Bank of Canada [London] MTN JPY JPY 5y
XS2154586791 HSBC Bank plc MTN USD USD 98d
XS2155328797 BOCI Financial Products Limited MTN HKD HKD 1y 4d
XS2155359164 DZ Bank AG [London] CD EUR EUR 7d
XS2155366615 Bank of Communications Co. Ltd [Tokyo] CD USD USD 91d
XS2155487759 Sweden, Kingdom of CP USD USD 30d
XS2155666410 Orbian Financial Services II, LLC CP EUR EUR 169d
XS2155673465 Single Platform Investment Repackaging Entity SA MTN EUR EUR 9y 344d
XS2155687689 Orbian Financial Services III, LLC CP USD USD 289d
XS2155799054 Toronto-Dominion Bank MTN USD USD 1y 134d
XS2087039868 BNP Paribas Issuance B.V. MTN USD USD 183d
DE000A2YPD36 FMS Wertmanagement Bond EUR EUR 2y
XS2076635650 Credit Suisse International [Milan] Bond USD USD 125d
XS2076663868 Credit Suisse International [Milan] Bond JPY JPY 278d
XS2076694822 Credit Suisse International [Milan] Bond HKD HKD 188d
XS2076725568 Credit Suisse International [Milan] Bond SGD SGD 187d
XS2121873058 DBS Bank Ltd MTN USD USD 29d
XS2123609534 JP Morgan Structured Products BV MTN HKD HKD 30d
XS2125539564 Goldman Sachs International MTN USD USD 93d
XS2125548045 Goldman Sachs International MTN USD USD 95d
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4,000 record(s)