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Luxembourg ×
- Luxembourg 78 entities
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Registered With
- 52990034RLKT0WSOAM90 1 entities
- 5493001KJTIIGC8Y1R12 12 entities
- 549300O897ZC5H7CY412 23 entities
- Bundesanzeiger Verlag GmbH (Bundesanzeiger) 38 entities
- Irish Stock Exchange 4 entities
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Sub Fund ×
- Sub Fund 78 entities
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Found 78 LEIs in Luxembourg
- (CHF) ISSUED ACTIVE 5493005KRYCOUZ77B338
- (EURO) ISSUED ACTIVE 549300JDKWX5H1DQCS75
- (GBP) ISSUED ACTIVE 549300H8G5CVJQP8GR17
- (USD) ISSUED ACTIVE 5493004NSJIU0SWQLJ13
- ABERSAND CAPITAL SICAV - COAM ISSUED ACTIVE 549300VNK44L7704J047
- ABERSAND CAPITAL SICAV - GLOBAL OPPORTUNITIES FIXED INCOME ISSUED ACTIVE 549300CBRY40FJXFJ340
- ACCI SYSTEMIC ALLOCATION ISSUED ACTIVE 549300ZB8R7ONFJXEP09
- ASIA EX-JAPAN EQUITY PORTFOLIO ISSUED ACTIVE 5493000X8WIUONC9A180
- ASIA PACIFIC EQUITY ISSUED ACTIVE 5493009KLFJ7M4IX0S75
- ASIA PACIFIC LOCAL CURRENCY DEBT PORTFOLIO ISSUED ACTIVE 5493008832GD45WLB072
- AXA VORSORGE PRIVATE DEBT SCA SICAV-RAIF – PRIVATE DEBT VINTAGE 2022 ISSUED ACTIVE 635400KLJDXBDVTSWI90
- AZ Allocation - Environment Conservative ISSUED ACTIVE 5493000GUJM1SO15LG73
- BLUEBAY INTERNATIONAL INVESTMENT GRADE BOND FUND ISSUED ACTIVE 549300R0SVUIUSC76L40
- BLUESPACE FUND ISSUED 254900ZIFEE1GNJCY958
- BLUESTAR DYNAMIC ISSUED ACTIVE 222100RCBQR4P1Y02Q97
- BLUESTAR GLOBAL THEMATIC ABSOLUTE ALLOCATION ISSUED ACTIVE 5493003KYX3BEHS27M56
- BOND EUR FUND ISSUED ACTIVE 549300XDIZ77FVCQ1896
- BOS International Fund - US EQUITIES ISSUED ACTIVE 549300OM18S86IFV2M16
- BPSA ACTIONS ISSUED ACTIVE 5493004PJICIJEFVY428
- CHINA LOW VOLATILITY EQUITY PORTFOLIO ISSUED ACTIVE 549300O0AO1N7TE2LM63
- Concentrated Asia Equity Portfolio ISSUED ACTIVE 5493006FE3ZTWUU0RR75
- DARWIN SELECTION EURO ISSUED ACTIVE 5493001W6C0SK8QNYI30
- DNA BIOTECH ISSUED ACTIVE 22210099PIR2XXP6EX86
- DYNAMIC GBP ISSUED ACTIVE 549300X2VKRY26B9CW94
- E Fund (HK) Global Quality Growth Fund ISSUED ACTIVE 254900P9E9ZKQOPL4267
- EAGLE US SMALL CAP STRATEGY ISSUED ACTIVE 549300E1EJBHERWX8P35
- ERASMUS BOND FUND ISSUED ACTIVE 549300PZDT9H1T3IQ454
- EURO CORPORATE SHORT TERM ISSUED ACTIVE 5493008D6X7HD10KQH17
- EURO FIXED INCOME ISSUED ACTIVE 5493000OTYCLQQWQ8867
- EURO HIGH YIELD ISSUED ACTIVE 222100VN83E6YV2DHJ59
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