Acadian Global Leveraged Market Neutral Fund, LP

LEI 549300R5ZQLQ7MZGKD18

Legal Address


C/O The Corporation Trust Company
Corporation Trust Center
1209 Orange Street
Wilmington US-DE US 19801

Headquarters Address


C/O Acadian Asset Management LLC
260 Franklin Street
Boston US-MA US 02110

External Public Records
LEI
549300R5ZQLQ7MZGKD18
Acadian Global Leveraged Market Neutral Fund, LP
LEI Registration Details
L E I
549300R5ZQLQ7MZGKD18
Legal Name
Acadian Global Leveraged Market Neutral Fund, LP
Authority Authority I D
RA000602
Authority Authority I D
5636616
Legal Jurisdiction
US-DE
Legal Form Legal Form Code
T91T
Status
ACTIVE
Initial Date
2014-11-19 20:46:00
Last Update Date
2020-07-21 19:09:00
Status
LAPSED
Next Renewal Date
2019-05-14 20:31:00
Managing L O U
EVK05KS7XY1DEII3R011 [Business Entity Data B.V.]
Validation Sources
FULLY_CORROBORATED
Validation Authority Validation Authority I D
RA000602
Validation Authority Validation Authority I D
5636616
Clean Name
acadian global leveraged market neutral fund l p

Subsidiaries and Parent Companies

Parent / Holding Companies


Relationship Details

Business Entity Relationship

Active

Acadian Global Leveraged Market Neutral Fund, Lp is directly consolidated by Acadian Asset Management Llc

Relationship Start Node Node I D
549300R5ZQLQ7MZGKD18 [Acadian Global Leveraged Market Neutral Fund, LP]
Relationship End Node Node I D
RQTOM0CI0L1JQEIRRN40 [Acadian Asset Management LLC]
Relationship Relationship Type
Is Directly Consolidated By
Relationship Relationship Status
Active
Registration Initial Registration Date
2014-11-19 20:46:00
Registration Last Update Date
2019-05-13 14:10:00
Registration Registration Status
Published
Registration Next Renewal Date
2019-05-14 20:31:00
Registration Managing L O U
EVK05KS7XY1DEII3R011 [Business Entity Data B.V.]
Registration Validation Sources
Entity Supplied Only
Registration Validation Documents
Supporting Documents
Relationship Period 1 Start Date
2017-07-14 20:00:00
Relationship Period 1 End Date
2017-12-30 19:00:00
Relationship Period 1 Period Type
Accounting Period
Relationship Period 2 Start Date
2017-07-14 20:00:00
Relationship Period 2 Period Type
Relationship Period
Relationship 1 Qualifier Dimension
Accounting Standard

Business Entity Relationship

Active

Acadian Global Leveraged Market Neutral Fund, Lp is ultimately consolidated by Acadian Asset Management Llc

Relationship Start Node Node I D
549300R5ZQLQ7MZGKD18 [Acadian Global Leveraged Market Neutral Fund, LP]
Relationship End Node Node I D
RQTOM0CI0L1JQEIRRN40 [Acadian Asset Management LLC]
Relationship Relationship Type
Is Ultimately Consolidated By
Relationship Relationship Status
Active
Registration Initial Registration Date
2014-11-19 20:46:00
Registration Last Update Date
2019-05-13 14:10:00
Registration Registration Status
Published
Registration Next Renewal Date
2019-05-14 20:31:00
Registration Managing L O U
EVK05KS7XY1DEII3R011 [Business Entity Data B.V.]
Registration Validation Sources
Entity Supplied Only
Registration Validation Documents
Supporting Documents
Relationship Period 1 Start Date
2017-07-14 20:00:00
Relationship Period 1 End Date
2017-12-30 19:00:00
Relationship Period 1 Period Type
Accounting Period
Relationship Period 2 Start Date
2017-07-14 20:00:00
Relationship Period 2 Period Type
Relationship Period
Relationship 1 Qualifier Dimension
Accounting Standard


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