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國泰君安資產管理(亞洲)有限公司

私人股份有限公司 (有限公司) · HONG KONG, Hong Kong · LEI 213800Y3WQGTZ2XX2E78
LEI active

Summary

國泰君安資產管理(亞洲)有限公司 is registered in Hong Kong and entered in the “Companies Registry” under number 19311133. Its legal form is 私人股份有限公司 (有限公司) – private limited company (Hong Kong). According to GLEIF, its ultimate parent is 国泰海通证券股份有限公司 (China), and its direct parent is 國泰君安國際控股有限公司 (Hong Kong). That group has 15 subsidiaries with LEIs in 6 countries, 8 of them in Hong Kong. The LEI was first issued on 9 May 2017 and the record was last updated on 7 Aug 2026; the next renewal is due by 9 May 2027.

Written from GLEIF data using fixed, reviewed sentence templates.

Data-quality notes (AssetCensus analysis)

No data-quality notes for this entity in this data release.

Company details

Legal form私人股份有限公司 (有限公司)
private limited company (Hong Kong)
RegisterCompanies Registry · Register website
Registration number19311133
JurisdictionHong Kong
Registered address27/F, GRAND MILLENNIUM PLAZA, 181 QUEEN'S ROAD CENTRAL, HONG KONG, Hong Kong
Categorycompany or other legal entity
Statusactive
Founded (per GLEIF)15 Aug 1995
LEI213800Y3WQGTZ2XX2E78
LEI statusactive
LEI first issued9 May 2017
LEI record last updated7 Aug 2026
Next LEI renewal9 May 2027
Corroboration of the LEI recordfully corroborated

Group membership

国泰海通证券股份有限公司 China ultimate parent
國泰君安國際控股有限公司 Hong Kong direct parent
國泰君安資產管理(亞洲)有限公司 this entity
View the whole group: 15 subsidiaries in 6 countries

Relationship to the parent

Direct parentUltimate parent
Parent國泰君安國際控股有限公司国泰海通证券股份有限公司
Accounting period1 Jan 2024 to 31 Dec 20241 Jan 2024 to 31 Dec 2024
Evidenceconsolidated accountsconsolidated accounts
Corroborationfully corroboratedfully corroborated
Accounting standardother standardother standard
Relationship start9 May 20179 May 2017
Recorded at GLEIF since9 May 20179 May 2017
Last updated7 Aug 20267 Aug 2026
Record statuscurrentcurrent

Other subsidiaries of the same direct parent (3)