CI INVESTMENTS INC.

5493001AF5NWM7LFW446Copied!

ACTIVE ISSUED 🇨🇦 Canada

CI INVESTMENTS INC. is an active legal entity registered in Canada (CA-ON). LEI code: 5493001AF5NWM7LFW446. The LEI was first issued on Aug 3, 2021 and is managed by LOU 5493001KJTIIGC8Y1R12. Next renewal is due Oct 8, 2026.

Entity Details

LEI Code 5493001AF5NWM7LFW446 Legal Name CI INVESTMENTS INC. Status ACTIVE Jurisdiction 🇨🇦 Canada (CA-ON) Category General Entities Legal Form Business corporations (which includes professional corporations) Registration # 5050584

Registration & Compliance

Reg. Status ISSUED Initial Reg. Aug 3, 2021 Last Updated Sep 10, 2025 Next Renewal Oct 8, 2026 Corroboration FULLY_CORROBORATED Managing LOU Bloomberg Finance L.P. Reg. Authority Corporate Registry (Province of Ontario)

Addresses

Legal / Registered Address
15 York Street
Second Floor
Toronto
CA-ON
M5J 0A3
CA
Headquarters Address
15 York Street
Second Floor
Toronto
CA-ON
M5J 0A3
CA

📅 Registration Timeline

First Issued
Aug 3, 2021 — LEI initially registered
Last Updated
Sep 10, 2025 — Record data last refreshed
Next Renewal
Oct 8, 2026 — Upcoming renewal deadline

Data Quality

80%
8 of 10 data fields populated
Legal Name
Legal Address
HQ Address
Jurisdiction
Registration #
Legal Form
BIC / SWIFT
Ownership Data
Other Names
Corroboration

🔎 LEI Code Anatomy

Every LEI is a 20-character alphanumeric code structured in three parts per ISO 17442

5493
001AF5NWM7LFW4
46
LOU Prefix
Characters 1–4 identify the Local Operating Unit that issued this LEI
Entity Identifier
Characters 5–18 are unique to this specific legal entity
Check Digits ✓
Characters 19–20 are verification digits (MOD 97-10). This LEI passes checksum validation.

Ownership & Relationships

Corporate structure and ownership hierarchy based on GLEIF Level 2 relationship data

Subsidiaries & Children (498)

CI Global Dividend Private Pool is fund-managed by
CI Private Markets Income Fund is fund-managed by
United International Fund is fund-managed by
CI LifeCycle 2065 Portfolio is fund-managed by
Canadian Equity Managed Class is fund-managed by
U.S. Equity Managed Pool is fund-managed by
Fixed Income Managed Class is fund-managed by
CI Private Markets Growth Fund is fund-managed by
Lakeridge Completion Pool is fund-managed by
CI Global Short-Term Bond Fund is fund-managed by
CI Galaxy Core Multi-Crypto ETF is fund-managed by
Fixed Income Managed Pool is fund-managed by
CI DEFERRED INVESTMENT FUND is fund-managed by
CI Galaxy Solana ETF is fund-managed by
Canadian Equity Managed Pool is fund-managed by
CI Money Market Pooled Fund is fund-managed by
Shopman’s Completion Pool is fund-managed by
U.S. Equity Managed Class is fund-managed by
CI Solana Fund is fund-managed by
CI Equity Premium Yield Fund is fund-managed by
CI U.S. Equity Private Trust is fund-managed by
CI Equity Asset Allocation ETF is fund-managed by
CI Growth Asset Allocation ETF is fund-managed by
CI Money Market ETF is fund-managed by
CI U.S. Money Market ETF is fund-managed by
CI U.S. Trendleaders Index ETF is fund-managed by
CI G5|20i 2036 Q1 Fund is fund-managed by
CI High Income Corporate Class is fund-managed by
CI International Equity Fund is fund-managed by
CI Real Growth Pool Class is fund-managed by
CI Money Market Corporate Class is fund-managed by
CI Canadian Equity Plus Fund is fund-managed by
CI Digital Security Index ETF is fund-managed by
CI Global Equity & Income Fund is fund-managed by
CI Corporate Bond Fund is fund-managed by
CI LifeCycle 2040 Portfolio is fund-managed by
CI Emerging Markets Alpha ETF is fund-managed by
CI Canadian Core Plus Bond Fund is fund-managed by
CI U.S. INCOME US$ FUND is fund-managed by
CI U.S. Money Market Fund is fund-managed by
CI Japan Equity Index ETF is fund-managed by
CI Galaxy Bitcoin Fund is fund-managed by
CI Tech Giants Covered Call ETF is fund-managed by
CI Corporate Bond Class is fund-managed by
CI G5|20i 2035 Q1 Fund is fund-managed by
JFT Strategies Fund is fund-managed by
CI Bio-Revolution Index ETF is fund-managed by
CI High Income Fund is fund-managed by
CI Canadian Equity Index ETF is fund-managed by
CI High Yield Bond Private Pool is fund-managed by
CI Enhanced Government Bond ETF is fund-managed by
CI Global Climate Leaders Fund is fund-managed by
CI U.S. Equity Private Pool is fund-managed by
CI U.S. 1000 Index ETF is fund-managed by
CI Preferred Share ETF is fund-managed by
Emerging Markets Equity Pool is fund-managed by
First Asset Utility Plus Fund is fund-managed by
CI Diversified Yield Fund is fund-managed by
CI Select Staging Fund is fund-managed by
CI Emerging Markets Bond Fund is fund-managed by
CI Real Income 1951-55 Class is fund-managed by
CI Canadian Dividend Fund is fund-managed by
KBSH EAFE Equity Fund is fund-managed by
CI Global Core Plus Equity ETF is fund-managed by
CI Canadian Long-Term Bond Pool is fund-managed by
CI Canadian Bond Private Pool is fund-managed by
CI LifeCycle 2020 Portfolio is fund-managed by
CI LifeCycle 2025 Portfolio is fund-managed by
CI Canadian REIT ETF is fund-managed by
CI Global Value Corporate Class is fund-managed by
Cambridge Put Write Pool is fund-managed by
CI Precious Metals Fund is fund-managed by
CI High Interest Savings ETF is fund-managed by
CI Real Income 1946-50 Class is fund-managed by
CI Real Income 1941-45 Class is fund-managed by
CI Investment Grade Bond Fund is fund-managed by
CI Global Financial Sector ETF is fund-managed by
CI Canadian Bond Pool is fund-managed by
Strategic Fixed Income Pool is fund-managed by
CI Global Alpha Innovation ETF is fund-managed by
CI LifeCycle 2030 Portfolio is fund-managed by
CI Preferred Share Fund is fund-managed by
CI Active Credit ETF is fund-managed by
CI G5|20 2040 Q1 Fund is fund-managed by
CI Global Equity Fund is fund-managed by
CI U.S. Monthly Income Fund is fund-managed by
CI Global Bond Fund is fund-managed by
CI Global REIT Class is fund-managed by
CI Income Fund is fund-managed by
CI LifeCycle Income Portfolio is fund-managed by
CI Active Canadian Dividend ETF is fund-managed by
CI Synergy American Fund is fund-managed by
CI Galaxy Bitcoin ETF is fund-managed by
CI G5|20 2040 Q4 Fund is fund-managed by
CI High Interest Savings Fund is fund-managed by
CI Asian Opportunities Fund is fund-managed by
U.S. Equity Alpha Pool is fund-managed by
CI G5|20 2038 Q3 Fund is fund-managed by
International Equity Value Pool is fund-managed by
CI Global Investment Grade ETF is fund-managed by
Cash Management Pool is fund-managed by
CI Global Leaders Fund is fund-managed by
CI Canadian Equity Fund is fund-managed by
U.S. Equity Small Cap Pool is fund-managed by
CI Gold Corporate Class is fund-managed by
CI LifeCycle 2060 Portfolio is fund-managed by
CI International Value Fund is fund-managed by
CI Corporate Bond Pool is fund-managed by
CI Gold Bullion Fund is fund-managed by
CI Real Mid Term Income Trust is fund-managed by
CI Canadian REIT Fund is fund-managed by
CI Mosaic Income ETF Portfolio is fund-managed by
CI India All Cap Fund is fund-managed by
Canadian Equity Alpha Pool is fund-managed by
CI North American Equity Fund is fund-managed by
CI Short-Term Bond Fund is fund-managed by
CI U.S. 500 Index ETF is fund-managed by
CI U.S. Dividend US$ Fund is fund-managed by
CI Long Bond Fund is fund-managed by
International Equity Alpha Pool is fund-managed by
CI Canadian Equity Income Fund is fund-managed by
Canadian Equity Small Cap Pool is fund-managed by
ivari CI Conservative Portfolio is fund-managed by
CI FINANCIAL CORP. is fund-managed by
CI CANADIAN CORE BOND FUND is fund-managed by
Global Fixed Income Pool is fund-managed by
Real Estate Investment Pool is fund-managed by
CI Select Canadian Equity Fund is fund-managed by
CI Global REIT Fund is fund-managed by
Short Term Income Pool is fund-managed by
CI Galaxy Metaverse Index ETF is fund-managed by
CI Galaxy Ethereum ETF is fund-managed by
CI Emerging Markets Fund is fund-managed by
U.S. Equity Growth Pool is fund-managed by
CI High Yield Bond Fund is fund-managed by
CI Global Income & Growth Pool is fund-managed by
CI Canadian All Cap Equity Fund is fund-managed by
CI Auspice Broad Commodity Fund is fund-managed by
CI Global Core Plus Bond Fund is fund-managed by
Global Equity Allocation Pool is fund-managed by
CI Mosaic Growth ETF Portfolio is fund-managed by
CI MONEY MARKET FUND is fund-managed by
CI Real Long Term Income Trust is fund-managed by
CI Global Income & Growth Fund is fund-managed by
CI Investment Grade Bond ETF is fund-managed by
CI Precious Metals Class is fund-managed by
U.S. Equity Value Pool is fund-managed by
CI Ethereum Fund is fund-managed by
Canadian Equity Growth Pool is fund-managed by
CI US Equity Fund is fund-managed by
CI Global Value Balanced Fund is fund-managed by
CI LifeCycle 2050 Portfolio is fund-managed by
Canadian Equity Value Pool is fund-managed by
CI Select Global Equity Fund is fund-managed by
CI Global Value Fund is fund-managed by
CI G5|20 2038 Q4 Fund is fund-managed by
CI Money Market Class is fund-managed by
CI U.S. Dividend Fund is fund-managed by
CI G5|20 2039 Q3 Fund is fund-managed by
Ivari CI Balanced Portfolio is fund-managed by
CI Cambridge U.S. Equity Fund is fund-managed by
CI Global Green Bond Fund is fund-managed by
CI LifeCycle 2055 Portfolio is fund-managed by
CI Global Stock Selection Fund is fund-managed by
CI LifeCycle 2035 Portfolio is fund-managed by
CI Portfolio Series Growth Fund is fund-managed by
US Equity Alpha Corporate Class is fund-managed by
CI Private Markets Funds is fund-managed by
CI Global Investment Grade Fund is fund-managed by
CI Bitcoin Fund is fund-managed by
CI High Yield Bond Class is fund-managed by
CI Canadian Balanced Fund is fund-managed by
CI Global Bond Corporate Class is fund-managed by
CI LifeCycle 2045 Portfolio is fund-managed by
CANADIAN FIXED INCOME POOL is fund-managed by
CI U.S. Equity Fund is fund-managed by
CI Galaxy Blockchain Index ETF is fund-managed by
CI Global REIT Private Pool is fund-managed by
CI G520 2039 Q2 Fund is fund-managed by
CI BOND FUND is fund-managed by
CI Global Equity Pooled Fund is fund-managed by
CI Real Short Term Income Trust is fund-managed by
CI U.S. Stock Selection Fund is fund-managed by
CI Global Resource Fund is fund-managed by
CI Portfolio Series Income Fund is fund-managed by
CI U.S. Equity Class is fund-managed by
CI Energy Private Trust is fund-managed by
CI Global Balanced Fund is fund-managed by
CI Global Dividend Fund is fund-managed by
CI G5|20i 2035 Q2 Fund is fund-managed by
CI G5|20i 2036 Q2 Fund is fund-managed by
CI Global Infrastructure Fund is fund-managed by
CI Canadian Bond Fund is fund-managed by
ivari CI Growth Portfolio is fund-managed by
CI Floating Rate Income Fund is fund-managed by
CI Resource Opportunities Class is fund-managed by
Global Equity Pool is fund-managed by
CI Canadian Investment Fund is fund-managed by

? Frequently Asked Questions

What is the LEI number for CI INVESTMENTS INC.? +

The Legal Entity Identifier (LEI) for CI INVESTMENTS INC. is 5493001AF5NWM7LFW446. This 20-character code uniquely identifies CI INVESTMENTS INC. in global financial transactions as per ISO 17442.

Is CI INVESTMENTS INC.'s LEI active? +

Yes, CI INVESTMENTS INC.'s LEI is currently active (registration status: ISSUED). The record was last updated on Sep 10, 2025 and is due for renewal on Oct 8, 2026.

Where is CI INVESTMENTS INC. registered? +

CI INVESTMENTS INC. is registered in Canada (jurisdiction: CA-ON). The entity is registered under business register number 5050584.

What is a Legal Entity Identifier (LEI)? +

An LEI is a 20-character alphanumeric code based on the ISO 17442 standard. It connects to key reference information that enables clear and unique identification of legal entities participating in financial transactions. LEIs are issued by Local Operating Units (LOUs) accredited by the Global Legal Entity Identifier Foundation (GLEIF).

About This LEI Record

This page shows the Legal Entity Identifier (LEI) record for CI INVESTMENTS INC., registered in Canada. The LEI code 5493001AF5NWM7LFW446 is a globally unique 20-character identifier assigned under the ISO 17442 standard to legal entities participating in financial transactions.

The reference data displayed above is sourced from the Global Legal Entity Identifier Foundation (GLEIF) and is updated hourly. This includes Level 1 data (entity identification and addresses) and Level 2 data (ownership relationships), where available.

If the registration status shows "Lapsed," it means the entity has not completed its annual renewal — the LEI still uniquely identifies this entity, but the reference data may not reflect the most recent information. For the most authoritative data, you can cross-reference this record on the official GLEIF website.