三井住友信託銀行株式会社
Summary
三井住友信託銀行株式会社 is registered in Japan and entered in the “Companies Registration” under number 0100-01-146005. Its legal form is 株式会社 (株) – joint-stock company (Japan). According to GLEIF, its ultimate parent is 三井住友トラストグループ株式会社 (Japan), which is also its direct parent. That group has 11 subsidiaries with LEIs in 6 countries, 3 of them in Japan. It has 3 direct subsidiaries in GLEIF data. The LEI was first issued on 3 Dec 2012 and the record was last updated on 6 Oct 2026; the next renewal is due by 6 Oct 2027. GLEIF's ISIN mapping lists 553 ISINs for this LEI. AssetCensus found 1 data-quality note for this entity (see below).
Written from GLEIF data using fixed, reviewed sentence templates.
Data-quality notes (AssetCensus analysis)
- The ultimate-parent link rests on accounts for the period ending 31 Mar 2019, more than 24 months before this data release. The group may have changed since.
Company details
| Legal form | 株式会社 (株) joint-stock company (Japan) |
|---|---|
| Register | Companies Registration · Register website |
| Registration number | 0100-01-146005 |
| Registration authority | Legal Affairs Bureau |
| Jurisdiction | Japan |
| Registered address | 丸の内一丁目4番1号, 100-8233 東京都 千代田区, Japan |
| Category | company or other legal entity |
| Status | active |
| Founded (per GLEIF) | 27 Jul 1925 |
| LEI | 5493006GGLR4BTEL8O61 |
| LEI status | active |
| LEI first issued | 3 Dec 2012 |
| LEI record last updated | 6 Oct 2026 |
| Next LEI renewal | 6 Oct 2027 |
| Corroboration of the LEI record | fully corroborated |
Group membership
Relationship to the parent
| Direct parent | Ultimate parent | |
|---|---|---|
| Parent | 三井住友トラストグループ株式会社 | 三井住友トラストグループ株式会社 |
| Accounting period | 1 Apr 2018 to 31 Mar 2019 | 1 Apr 2018 to 31 Mar 2019 |
| Evidence | consolidated accounts | consolidated accounts |
| Corroboration | fully corroborated | fully corroborated |
| Accounting standard | other standard | other standard |
| Relationship start | 1 Apr 2018 | 1 Apr 2018 |
| Recorded at GLEIF since | 10 Jan 2020 | 10 Jan 2020 |
| Last updated | 9 Sep 2022 | 9 Sep 2022 |
| Record status | current | current |
Direct subsidiaries (3)
- Sumitomo Mitsui Trust (Hong Kong) Limited Hong Kong · Central and Western District
- SuMiT Liquidity Reserve Limited Cayman Islands · Grand Cayman Grand Cayman
- Sumitomo Mitsui Trust Bank (U.S.A.) Limited United States · Hoboken
Other subsidiaries of the same direct parent (3)
- アモーヴァ・アセットマネジメント株式会社 Japan
- 三井住友トラスト・アセットマネジメント株式会社 Japan
- SUMITOMO MITSUI TRUST INTERNATIONAL LIMITED United Kingdom
ISINs mapped to this LEI (553)
US86563K5A72 · US86563K5D12 · US86563VAM19 · US86563VAN91 · US86563VBA61 · US86563VBE83 · US86563VBH15 · US86563VBM00 · US86563VBP31 · US86563VBQ14
553 in the GLEIF–ANNA mapping file; first 10 shown. The file covers ISINs issued since the mapping started, not all securities.
Other names
- Sumitomo Mitsui Trust Bank, Limited · name in another language
- 三井住友信託銀行 · trading name