Managed Portfolio Series International Shares Fund 2

LEI 549300NQWYCCGJKHZ389

Legal Address [en]


C/O Westpac Financial Services Limited
Level 18
Westpac Place
275 Kent Street
SYDNEY AU-NSW AU 2000

Headquarters Address [en]


C/O Westpac Financial Services Limited
Level 18
Westpac Place
275 Kent Street
SYDNEY AU-NSW AU 2000

External Public Records
LEI Registration Details
L E I
549300NQWYCCGJKHZ389
Legal Name
MANAGED PORTFOLIO SERIES INTERNATIONAL SHARES FUND 2
Authority Authority I D
RA000015
Authority Authority I D
625 870 591
Legal Jurisdiction
AU
Category
FUND
Legal Form Legal Form Code
ADXG
Status
ACTIVE
Initial Date
2018-05-22 10:31:00
Last Update Date
2021-09-23 15:32:00
Status
ISSUED
Next Renewal Date
2022-07-26 05:26:00
Managing L O U
EVK05KS7XY1DEII3R011 [Business Entity Data B.V.]
Validation Sources
FULLY_CORROBORATED
Validation Authority Validation Authority I D
RA000015
Validation Authority Validation Authority I D
625 870 591

Subsidiaries and Parent Companies

Parent / Holding Companies


Relationship Details

Business Entity Relationship

Active

Managed Portfolio Series International Shares Fund 2 is directly consolidated by Westpac Financial Services Limited

Relationship Start Node Node I D
549300NQWYCCGJKHZ389 [MANAGED PORTFOLIO SERIES INTERNATIONAL SHARES FUND 2]
Relationship End Node Node I D
549300741WAL6UM73B20 [WESTPAC FINANCIAL SERVICES LIMITED]
Relationship Relationship Type
Is Directly Consolidated By
Relationship Relationship Status
Active
Registration Initial Registration Date
2018-05-22 10:31:00
Registration Last Update Date
2021-04-27 05:17:00
Registration Registration Status
Published
Registration Next Renewal Date
2022-04-27 02:29:00
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
2017-03-31 20:00:00
Relationship Period 1 End Date
2018-03-30 20:00:00
Relationship Period 1 Period Type
Accounting Period
Relationship Period 2 Start Date
2018-05-21 20:00:00
Relationship Period 2 Period Type
Relationship Period
Relationship 1 Qualifier Dimension
Accounting Standard

Business Entity Relationship

Active

Managed Portfolio Series International Shares Fund 2 is ultimately consolidated by Westpac Financial Services Limited

Relationship Start Node Node I D
549300NQWYCCGJKHZ389 [MANAGED PORTFOLIO SERIES INTERNATIONAL SHARES FUND 2]
Relationship End Node Node I D
549300741WAL6UM73B20 [WESTPAC FINANCIAL SERVICES LIMITED]
Relationship Relationship Type
Is Ultimately Consolidated By
Relationship Relationship Status
Active
Registration Initial Registration Date
2018-05-22 10:31:00
Registration Last Update Date
2021-04-27 05:17:00
Registration Registration Status
Published
Registration Next Renewal Date
2022-04-27 02:29:00
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
2017-03-31 20:00:00
Relationship Period 1 End Date
2018-03-30 20:00:00
Relationship Period 1 Period Type
Accounting Period
Relationship Period 2 Start Date
2018-05-21 20:00:00
Relationship Period 2 Period Type
Relationship Period
Relationship 1 Qualifier Dimension
Accounting Standard


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