LEI record
· Cayman IslandsASSET ALLOCATION STRATEGY FUND (USD-DENOMINATED/PRIVATE PLACEMENT FOR GENERAL INVESTORS)
IssuedActive
3912
00
7FBO5PYU5AUF
39
Issuer (LOU)
Res.
Entity identifier
Check
- Legal form
- Sub-Fund
- Jurisdiction
- Cayman Islands
- Registered
- 24 Dec 2024
- Next renewal
- 24 Dec 2026
Reference data
Identity
- LEI
- 3912007FBO5PYU5AUF39
- Legal form
- Sub-Fund9999
- Registration authority
- No Registration Authority available
- Legal address
- One Nexus Way, Camana Bay, Grand Cayman, KY1-9005, KY
- Location
- Camana Bay, Grand Cayman, Cayman Islands
- HQ address
- One Nexus Way, Camana Bay, Grand Cayman, KY
- Initial registration
- 24 Dec 2024
- Last updated
- 10 Dec 2025
- Managing LOU (issuer)
- Bundesanzeiger Verlag GmbH39120001KULK7200U106
Level 2 · who owns whom
Corporate structure
Is fund-managed by大和アセットマネジメント株式会社
Is subfund ofDaiwa Premium Trust
Direct accounting consolidation parent: No known person
Ultimate accounting consolidation parent: No known person
Securities & codes
Securities and identifiers
No securities, bank or market codes mapped to this entity.
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
Plain-language summary
The LEI is a 20-character ISO 17442 code identifying this legal entity in financial transactions. Its legal form is “Sub-Fund”. It is registered in Cayman Islands.
Its LEI has been on record for 2 years, since 2024. Its next annual renewal is due 24 Dec 2026.
Issued is the status of the LEI registration; the entity status (Active) describes whether the legal entity itself still exists.
The mesh
Related entities
Source: GLEIF (CC0)Official record ↗More in Cayman Islands