ISIN and CFI codes allocation

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*.

 
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21981-22000 of 81435 results shown.
ISIN Issuer; Country Issue Description CFI Code Edition of IS0 10962 ISIN Status [?] Numbering Agency Information Source As of
LU0280433417 PICTET SICAV - PICTET-PREMIUM BRANDS; LU SHS PICTET-PREMIUM BRANDS I USD CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280433847 PICTET SICAV - PICTET-PREMIUM BRANDS; LU SHS PICTET-PREMIUM BRANDS P CAP USD CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280435388 PICTET SICAV - PICTET-CLEAN ENERGY; LU SHS PICTET-CLEAN EN.TRA-P CAP EUR CIOGES 2015 Updated Clearstream Banking S.A. ASBF 2023-04-21
LU0280435461 PICTET SICAV - PICTET-CLEAN ENERGY; LU SHS PICTET-CLEAN EN.TRA-R EUR CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2023-04-21
LU0280437160 PICTET SICAV - PICTET-EMERGING LOCAL CURRENCY DEBT; LU SHS PICTET-EM.LOC.CUR.DEBT I EUR CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280437673 PICTET SICAV - PICTET-EMERGING LOCAL CURRENCY DEBT; LU SHS PICTET-EM.LOC.CUR.DEBT P CAP EUR CIOGES 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280437830 PICTET SICAV - PICTET-EMERGING LOCAL CURRENCY DEBT; LU SHS PICTET-EM.LOC.CUR.DEBT R EUR CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280567701 AVIVA INVESTORS SICAV - GLOBAL CONVERTIBLES FUND; LU SHS AVIVA INV.-GLOB.CONVERTIBLES FD B EURH CIOGVX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0280807784 SCHRODER INTERNATIONAL SELECTION FUND SICAV - JAPANESE OPPORTUNITIES; LU SHS SCHRODER INTL SEL-JAP.OPP. CAP A USD CIOGMX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0281210327 SHS UBS (LUX) EMERG.ECO.FD-LOC.CCY EXP.-B EUR; LU INTERNATIONAL ISSUE INVESTMENT FUNDS EUR EUOGSB 2001 Deleted Clearstream Banking S.A. ASBF 2018-04-23
LU0281436138 EASYETF I TRAXX R CROSSOVER; LU SHS EASYETF I TRAXX R CROSSOVER CIOIMX 2015 Deleted Clearstream Banking S.A. ASBF 2022-02-19
LU0281436302 EASYETF I TRAXX R EUROPE HIVOL; LU SHS EASYETF I TRAXX R EUROPE HIVOL CIOGMX 2015 Deleted Clearstream Banking S.A. ASBF 2022-02-19
LU0282388437 PARVEST SICAV - SUSTAINABLE BOND WORLD CORPORATE; LU SHS BNP PARIBAS SUS GLO CORP BD .CLA CAP USD CIOGBX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0282761252 FRANKLIN TEMPLETON INVESTMENT FUNDS SICAV - FRANKLIN MUTUAL GLOBAL DISCOVERY FUND; LU SHS FRANKLIN MUTUAL GL.DISCO.FD-N CAP EUR-H2 CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0283561297 UBS (LUX) STRUCT.SIC.-OPTIMISAT.(CHF)-A; LU SHS UBS (LUX) STRUCT.SIC.-OPTIMISAT.(CHF)-A CIOIMX 2015 Deleted Clearstream Banking S.A. ASBF 2020-01-18
LU0283561537 UBS (LUX) STRUCT.SIC.-OPTIMISAT.(CHF)-B; LU SHS UBS (LUX) STRUCT.SIC.-OPTIMISAT.(CHF)-B CIOGMX 2015 Deleted Clearstream Banking S.A. ASBF 2020-01-18
LU0283561966 UBS (LUX) STRUCT.SIC.-OPTIMISAT.(EUR)-A; LU SHS UBS (LUX) STRUCT.SIC.-OPTIMISAT.(EUR)-A CIOIMX 2015 Deleted Clearstream Banking S.A. ASBF 2020-01-18
LU0283562345 UBS (LUX) STRUCT.SIC.-OPTIMISAT.(EUR)-B; LU SHS UBS (LUX) STRUCT.SIC.-OPTIMISAT.(EUR)-B CIOGMX 2015 Deleted Clearstream Banking S.A. ASBF 2022-02-19
LU0284394235 DNCA INVEST SICAV - EUROSE; LU SHS DNCA INVEST-EUROSE-A EUR CIOGMS 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13
LU0284395984 DNCA INVEST SICAV - VALUE EUROPE; LU SHS DNCA INVEST-VALUE EUROPE-I EUR CIOGEX 2015 Updated Clearstream Banking S.A. ASBF 2021-10-13

* 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.).


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