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LALEIatlas

LEI record

· United Kingdom

PUTM ACS NORTH AMERICAN FUND 3

IssuedActive
2138
00
83UINVX6OPMN
18
Issuer (LOU)
Res.
Entity identifier
Check
Legal form
SUB-FUND
Jurisdiction
United Kingdom
Registered
1 Jul 2022
Next renewal
1 Jul 2027

Reference data

Identity

LEI
21380083UINVX6OPMN18
Legal form
SUB-FUND8888
Registration authority
Financial Services Registerentity ID 988173
Legal address
C/O STANDARD LIFE FUND MANAGERS LIMITED, 10 BRINDLEYPLACE, BIRMINGHAM, B1 2JB, GB
HQ address
C/O STANDARD LIFE FUND MANAGERS LIMITED, 10 BRINDLEYPLACE, BIRMINGHAM, GB
Initial registration
1 Jul 2022
Last updated
17 Jun 2026
Managing LOU (issuer)
LONDON STOCK EXCHANGE LEI LIMITED213800WAVVOPS85N2205

Level 2 · who owns whom

Corporate structure

Direct accounting consolidation parent: Non consolidating
Ultimate accounting consolidation parent: Non consolidating

Securities & codes

Securities and identifiers

Securities (ISIN) · 8
GB00BLR8HW46 · GB00BLR8HX52 · GB00BLR8HY69 · GB00BLR8HZ76 · GB00BLR8J060 · GB00BLR8J284 · GB00BLR8J391 · GB00BLR8J409

The archive · 1 version

Change history

First recorded in this archive on 6 Jul 2026. Future changes to name, status, address, ownership or renewal date will appear here.

What this means

What the record says about PUTM ACS NORTH AMERICAN FUND 3

PUTM ACS NORTH AMERICAN FUND 3 is an investment fund structure domiciled in BIRMINGHAM, United Kingdom. Funds hold LEIs in their own right, and GLEIF records who manages them rather than who owns them.

The LEI has been on record for 4 years, since 1 Jul 2022. That is about 4 years later than the median LEI in United Kingdom (2018).

The next annual re-validation is due 1 Jul 2027, 329 days from now.

The record has not changed since we began archiving it on 6 Jul 2026. Any future change to name, status, address, ownership or renewal date will be captured here, because GLEIF publishes only the current state and superseded values are otherwise lost.

The entity is registered with Financial Services Register under registry number 988173, and the LEI itself is issued and maintained by LONDON STOCK EXCHANGE LEI LIMITED, one of the Local Operating Units accredited by GLEIF.

Beyond the LEI, 8 ISINs are mapped to this entity in the GLEIF cross-reference files.

No direct accounting-consolidating parent is reported, because no parent prepares consolidated accounts that include it. GLEIF requires this to be stated explicitly rather than left blank, so the absence is itself a data point.

No ultimate accounting-consolidating parent is reported, because no parent prepares consolidated accounts that include it. GLEIF requires this to be stated explicitly rather than left blank, so the absence is itself a data point.

The LEI registration is issued, and the entity status (active) records whether the legal entity itself still exists. The two are independent: an LEI can lapse while the company trades on, and it can stay issued after the company has been dissolved.

The mesh

Related entities

Source: GLEIF (CC0)Official record ↗More in United Kingdom