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AP Asset Management (HK) Limited

Private company limited by shares (Ltd) · Hong Kong, Hong Kong · LEI 2549007IJCDLAA8QE751
LEI lapsed

Summary

AP Asset Management (HK) Limited is registered in Hong Kong and entered in the “香港稅務局轄下的商業登記署” under number 34387709. Its legal form is Private company limited by shares (Ltd). According to GLEIF, its ultimate parent is AP Asset Management Inc. (Cayman Islands), which is also its direct parent. That group has 1 subsidiary with LEIs in 2 countries, 1 of them in Hong Kong. The LEI was first issued on 26 Jun 2017 and the record was last updated on 8 May 2024. It has lapsed: renewal was due by 26 Jun 2018. AssetCensus found 3 data-quality notes for this entity (see below).

Written from GLEIF data using fixed, reviewed sentence templates.

Data-quality notes (AssetCensus analysis)

  • The LEI has lapsed: it was due for renewal by 26 Jun 2018 and was not renewed, so GLEIF's data for this entity has not been re-verified since. A lapsed LEI does not mean the company has ceased to exist.
  • The ultimate-parent link rests on accounts for the period ending 31 Dec 2020, more than 24 months before this data release. The group may have changed since.
  • The ultimate-parent relationship record was not renewed; it was last updated on 8 May 2024.

Company details

Legal formPrivate company limited by shares (Ltd)
Register香港稅務局轄下的商業登記署 · Register website
Registration number34387709
Registration authorityBusiness Registration Office of the Inland Revenue Department, The Government of the Hong Kong Special Administrative Region
JurisdictionHong Kong
Registered addressRm 301-05, 3/F Shui On Center, 6-8 Harbour Road, 999077 Hong Kong, Hong Kong
Categorycompany or other legal entity
Statusactive
Founded (per GLEIF)12 Mar 2004
LEI2549007IJCDLAA8QE751
LEI statuslapsed
LEI first issued26 Jun 2017
LEI record last updated8 May 2024
Next LEI renewal26 Jun 2018
Corroboration of the LEI recordfully corroborated

Group membership

AP Asset Management Inc. Cayman Islands lapsed ultimate parent
AP Asset Management (HK) Limited this entity

Relationship to the parent

Direct parentUltimate parent
ParentAP Asset Management Inc.AP Asset Management Inc.
Accounting period1 Jan 2020 to 31 Dec 20201 Jan 2020 to 31 Dec 2020
Evidenceother official documentsother official documents
Corroborationsupplied by the entity onlysupplied by the entity only
Accounting standardIFRSIFRS
Consolidation percentage reported to GLEIF100.00%100.00%
Relationship start1 Jan 20201 Jan 2020
Recorded at GLEIF since26 Jun 201726 Jun 2017
Last updated8 May 20248 May 2024
Record statusnot renewednot renewed