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SKYT MULTI STRATEGY FUND LP

Limited Partnership · Wilmington, United States · LEI 254900WNVBEDBT8KQU57
LEI active

Summary

SKYT MULTI STRATEGY FUND LP is registered in the United States. Its legal form is Limited Partnership. According to GLEIF, its ultimate parent is SKYT HOLDING S.A. (Luxembourg), and its direct parent is SKYT PARTNERS LLC (United States). That group has 5 subsidiaries with LEIs in 5 countries, 2 of them in the United States. The LEI was first issued on 21 Apr 2023 and the record was last updated on 27 Mar 2026; the next renewal is due by 21 Apr 2027. GLEIF's ISIN mapping lists 1 ISIN 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 Dec 2023, more than 24 months before this data release. The group may have changed since.

Company details

Legal formLimited Partnership
Register · Register website
Registration number7403039
Registration authorityDivision of Corporations, Department of State
JurisdictionUnited States (US-DE)
Registered addressC/O Business Filings Incorporated, 108 West, 19801 Wilmington, United States
Headquarters address1207 Delaware Ave, 19806 WILMINGTON, United States
Categorycompany or other legal entity
Statusactive
Founded (per GLEIF)12 Apr 2023
LEI254900WNVBEDBT8KQU57
LEI statusactive
LEI first issued21 Apr 2023
LEI record last updated27 Mar 2026
Next LEI renewal21 Apr 2027
Corroboration of the LEI recordfully corroborated

Group membership

SKYT HOLDING S.A. Luxembourg ultimate parent
SKYT PARTNERS LLC United States direct parent
SKYT MULTI STRATEGY FUND LP this entity
View the whole group: 5 subsidiaries in 5 countries

Relationship to the parent

Direct parentUltimate parent
ParentSKYT PARTNERS LLCSKYT HOLDING S.A.
Accounting period13 Apr 2023 to 31 Dec 202313 Apr 2023 to 31 Dec 2023
Evidenceother official documentsother official documents
Corroborationsupplied by the entity onlysupplied by the entity only
Consolidation percentage reported to GLEIF100.00%100.00%
Relationship start13 Apr 202313 Apr 2023
Recorded at GLEIF since21 Apr 202321 Apr 2023
Last updated24 Mar 202524 Mar 2025
Record statuscurrentcurrent

ISINs mapped to this LEI (1)

US83088Y1064

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