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AXA FRAMLINGTON MONTHLY INCOME FUND

UNIT TRUST · LONDON, United Kingdom · LEI 213800RRYXKS8PCY4P52
LEI lapsedfund

Summary

AXA FRAMLINGTON MONTHLY INCOME FUND is registered in the United Kingdom and entered in the “Financial Services Register” under number 107375. According to GLEIF, its ultimate parent is AXA (France), which is also its direct parent. That group has 318 subsidiaries with LEIs in 29 countries, 67 of them in the United Kingdom. The LEI was first issued on 11 Sep 2017 and the record was last updated on 12 Sep 2026. It has lapsed: renewal was due by 11 Sep 2026. GLEIF's ISIN mapping lists 4 ISINs for this LEI. 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 11 Sep 2026 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 6 Sep 2022, 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 12 Sep 2026.

Company details

Legal formUNIT TRUST
RegisterFinancial Services Register · Register website
Registration number107375
Registration authorityFinancial Conduct Authority
JurisdictionUnited Kingdom
Registered addressC/O AXA INVESTMENT MANAGERS UK LIMITED, 22 BISHOPSGATE, EC2N 4BQ LONDON, United Kingdom
Categoryfund
Statusactive
Founded (per GLEIF)2 Oct 1984
LEI213800RRYXKS8PCY4P52
LEI statuslapsed
LEI first issued11 Sep 2017
LEI record last updated12 Sep 2026
Next LEI renewal11 Sep 2026
Corroboration of the LEI recordfully corroborated

Group membership

AXA France ultimate parent
AXA FRAMLINGTON MONTHLY INCOME FUND this entity
View the whole group: 318 subsidiaries in 29 countries

Relationship to the parent

Direct parentUltimate parent
ParentAXAAXA
Accounting period7 Sep 2021 to 6 Sep 20227 Sep 2021 to 6 Sep 2022
Evidenceconsolidated accountsconsolidated accounts
Corroborationfully corroboratedfully corroborated
Accounting standardIFRSIFRS
Relationship start11 Sep 201711 Sep 2017
Recorded at GLEIF since11 Sep 201711 Sep 2017
Last updated12 Sep 202612 Sep 2026
Record statusnot renewednot renewed

Other subsidiaries of the same direct parent (233)

and 221 more

ISINs mapped to this LEI (4)

GB0003490595 · GB0003500286 · GB00B7MMK577 · GB00B7MMK809

4 in the GLEIF–ANNA mapping file. The file covers ISINs issued since the mapping started, not all securities.