ISIN and CFI Database for Non-Russian Financial Instruments that Meet the Requirements of Bank of Russia Regulation on Qualification
The Database contains ISIN and CFI codes allocated by authorized agencies in accordance with ISO 6166 and ISO 10962, and the CFI codes meet the requirements of paragraph 4.2 of the Directive of the Central Bank of the Russian Federation No. 4561-U dated October 3, 2017 "On the Procedure for the Qualification of Foreign Financial Instruments as Securities" (in the version of the Directive of Bank of Russia No. 4903-U dated 12.09.2018).
Information on non-Russian financial instruments is updated in real time as a result of processing clients' requests relating to new instruments and monitoring of information on instruments already recorded in the Database.
Information on ISIN and CFI codes is provided by NSD to market participants solely for the purpose of qualification of non-Russian financial instruments as securities admitted for operations on the Russian market*.
21461-21480 of 81437 results shown.
New – ISIN first sent in ASB database;
Updated – One of the fields of the ISIN record is updated;
Deleted – The instrument associated with the ISIN is not active anymore (for example, the instrument has expired/matured or went bankrupt, if it was an equity);
Reused - The information of a new instrument with an already existing ISIN first sent in the ASB database.
| ISIN |
Issuer; Country |
Issue Description |
CFI Code |
Edition of IS0 10962 |
ISIN Status [?] |
Numbering Agency |
Information Source |
As of |
| LU0208609445 |
PICTET SICAV - PICTET-DIGITAL; LU |
SHS PICTET-DIGIT.COM P DIS USD |
CIOIEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208610294 |
PICTET SICAV - PICTET-WATER; LU |
SHS PICTET-WATER P DIS EUR |
CIOIES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208611698 |
PICTET SICAV - PICTET-ASIAN EQUITIES EX JAPAN; LU |
SHS PICTET-AS.EQ.EX JAPAN P DIS USD |
CIOIEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208613470 |
PICTET SICAV - PICTET-HEALTH; LU |
SHS PICTET-HEALTH P DIS USD |
CIOIEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208613637 |
PICTET-JAP.MID-SM.CAP P DIS JPY; LU |
SHS PICTET-JAP.MID-SM.CAP P DIS JPY |
CIOIEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208853274 |
JPMORGAN FUNDS SICAV - GLOBAL NATURAL RESOURCES FUND; LU |
SHS JPMORGAN-GL.NATURAL RESOUR.A ACC-EUR |
CIOGMS |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208853514 |
JPMORGAN FUNDS SICAV - GLOBAL NATURAL RESOURCES FUND; LU |
SHS JPMORGAN-GL.NATURAL RESOUR.A DIS-EUR |
CIOIMS |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0208853860 |
JPMORGAN FUNDS SICAV - GLOBAL NATURAL RESOURCES FUND; LU |
SHS JPMORGAN-GL.NATURAL RESOUR.C ACC-EUR |
CIOGMX |
2015 | Updated |
Clearstream Banking S.A. |
ASB |
2023-11-21 |
| LU0209095446 |
PIONEER INVESTMENTS TOTAL RETURN FCP; LU |
SHS AMUNDI TOTAL RETURN A CAP |
CIOGES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0209404259 |
DWS TUERKEI FCP; LU |
SHS DWS TUERKEI |
CIOGBS |
2015 | Deleted |
Clearstream Banking S.A. |
ASBF |
2021-11-17 |
| LU0209988657 |
LOMBARD ODIER FUNDS SICAV - CONVERTIBLE BOND; |
SHS LO FUNDS-CONVERTIBLE BOND A-N |
CIOGBX |
| |
Clearstream Banking S.A. |
ANNA Free ISIN Lookup, Ïèñüìî ÍÍÀ |
2024-05-06 |
| LU0210301635 |
DWS INVEST -ESG EM. MARKETS EQ; LU |
SHS DWS INVEST -ESG EM. MARKETS EQ |
CIOGES |
2015 | Deleted |
Clearstream Banking S.A. |
ASBF |
2022-12-01 |
| LU0210303920 |
SHS DWS INVEST-COMMODITY PLUS LC; LU |
INTERNATIONAL ISSUE INVESTMENT FUNDS EUR |
EUOGSR |
2001 | Deleted |
Clearstream Banking S.A. |
ASBF |
2018-04-23 |
| LU0210526801 |
JPMORGAN FUNDS SICAV - GREATER CHINA FUND; LU |
SHS JPMORGAN FDS-JPM GREATER CHINA A.ACC-USD |
CIOGES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0210527015 |
JPMORGAN FUNDS SICAV - INDIA FUND; LU |
SHS JPMORGAN FDS-JPM INDIA A (ACC) - USD |
CIOGES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0210527361 |
JPMORGAN FUNDS SICAV - JAPAN EQUITY FUND; LU |
SHS JPMORGAN FDS-JPM JAPAN EQ.A.ACC-USD |
CIOGEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0210528096 |
JPMORGAN FUNDS SICAV - PACIFIC EQUITY FUND; LU |
SHS JPMORGAN-JPM PACIFIC EQUITY A ACC-USD |
CIOGES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-06 |
| LU0210528419 |
JPMORGAN FUNDS SICAV - TAIWAN FUND; LU |
SHS JPMORGAN FDS-JPM TAIWAN A (ACC) - USD |
CIOGEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0210528500 |
JPMORGAN FUNDS SICAV - AMERICA EQUITY FUND; LU |
SHS JPMORGAN-AMERICA EQUITY A ACC-USD |
CIOGEX |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2021-10-13 |
| LU0210529144 |
JPMORGAN FUNDS SICAV - EMERGING EUROPE EQUITY FUND; LU |
SHS JPM-EMERGING EUROPE EQ.A ACC EUR |
CIOGES |
2015 | Updated |
Clearstream Banking S.A. |
ASBF |
2023-08-18 |
* NSD does not make any representation or warranty as to the completeness or reliability of the information contained herein, nor does it make any warranty regarding its consistency with the purposes for which the information is used, including but not limited to, commercial purposes.
The information published on this website is not to be construed as an offer to effect any deal with financial instruments, and should not be used for commercial or other purposes; nor does it represent an offer from NSD to render any services; nor does it make any warranty or representation of reliability of certain financial instruments or persons (including but not limited to, issuers, securities market participants, etc.).
For further information, please refer to NSD’s experts.
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