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Capstone Treasury Pool

fund · Langley, Canada · LEI 894500FX8SZ1MFZHJG30
LEI activefund

Summary

Capstone Treasury Pool is registered in Canada and entered in the “System for Electronic Document Analysis and Retrieval (SEDAR)” under number 000101778. According to GLEIF, its ultimate parent is CAPSTONE ASSET MANAGEMENT INC. (Canada), which is also its direct parent. That group has 1 subsidiary with LEIs in 1 country, 1 of them in Canada. The LEI was first issued on 8 Sep 2023 and the record was last updated on 12 Aug 2026; the next renewal is due by 8 Sep 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 formfund
RegisterSystem for Electronic Document Analysis and Retrieval (SEDAR) · Register website
Registration number000101778
Registration authorityCanadian Securities Administrators
JurisdictionCanada
Registered addressB400 – 7980 206A Street, V2Y 3Z9 Langley, Canada
Categoryfund
Statusactive
Founded (per GLEIF)27 Apr 2023
LEI894500FX8SZ1MFZHJG30
LEI statusactive
LEI first issued8 Sep 2023
LEI record last updated12 Aug 2026
Next LEI renewal8 Sep 2027
Corroboration of the LEI recordfully corroborated

Group membership

CAPSTONE ASSET MANAGEMENT INC. Canada ultimate parent
Capstone Treasury Pool this entity

Relationship to the parent

Direct parentUltimate parent
ParentCAPSTONE ASSET MANAGEMENT INC.CAPSTONE ASSET MANAGEMENT INC.
Accounting period1 Jan 2025 to 31 Dec 20251 Jan 2025 to 31 Dec 2025
Evidencesupporting documentssupporting documents
Corroborationfully corroboratedfully corroborated
Relationship start27 Apr 202327 Apr 2023
Recorded at GLEIF since8 Sep 20238 Sep 2023
Last updated12 Aug 202612 Aug 2026
Record statuscurrentcurrent