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WILLIAM BLAIR FUNDS - William Blair International Developed Plus Fund

FUND · WILMINGTON, United States · LEI HLLR6GO7LNGV5HZYYQ56
LEI lapsedfund

Summary

WILLIAM BLAIR FUNDS - William Blair International Developed Plus Fund is registered in the United States and entered in the “EDGAR” under number S000008606. According to GLEIF, its ultimate parent is WILLIAM BLAIR FUNDS (United States), which is also its direct parent. That group has 1 subsidiary with LEIs in 1 country, 1 of them in the United States. The LEI was first issued on 13 Oct 2012 and the record was last updated on 4 Aug 2023. It has lapsed: renewal was due by 23 Feb 2021. 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 23 Feb 2021 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 2019, 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 31 Jul 2023.

Company details

Legal formFUND
RegisterEDGAR · Register website
Registration numberS000008606
Registration authoritySecurities and Exchange Commission
JurisdictionUnited States (US-DE)
Registered addressC/O THE CORPORATION TRUST COMPANY, CORPORATION TRUST CENTER 1209 ORANGE ST, 19801 WILMINGTON, United States
Headquarters address150 North Riverside Plaza, 60606 Chicago, United States
Categoryfund
Statusactive
LEIHLLR6GO7LNGV5HZYYQ56
LEI statuslapsed
LEI first issued13 Oct 2012
LEI record last updated4 Aug 2023
Next LEI renewal23 Feb 2021
Corroboration of the LEI recordfully corroborated

Group membership

WILLIAM BLAIR FUNDS United States ultimate parent
WILLIAM BLAIR FUNDS - William Blair International Developed Plus Fund this entity

Relationship to the parent

Direct parentUltimate parent
ParentWILLIAM BLAIR FUNDSWILLIAM BLAIR FUNDS
Accounting period1 Jan 2019 to 31 Dec 20191 Jan 2019 to 31 Dec 2019
Evidencesupporting documentssupporting documents
Corroborationsupplied by the entity onlysupplied by the entity only
Relationship start29 Sep 201729 Sep 2017
Recorded at GLEIF since13 Oct 201213 Oct 2012
Last updated31 Jul 202331 Jul 2023
Record statusnot renewednot renewed

Other names

  • William Blair Funds - William Blair International Equity Fund · previous name