SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.

8AFAYMK90I2QVGLMLS34Copied!

ACTIVE ISSUED 🇱🇺 Luxembourg

SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. is an active legal entity registered in Luxembourg (LU). LEI code: 8AFAYMK90I2QVGLMLS34. The LEI was first issued on Jun 6, 2012 and is managed by LOU 549300O897ZC5H7CY412. Next renewal is due Sep 23, 2026.

Entity Details

LEI Code 8AFAYMK90I2QVGLMLS34 Legal Name SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. Status ACTIVE Jurisdiction 🇱🇺 Luxembourg (LU) Category General Entities Legal Form Société anonyme Registration # B37799

Registration & Compliance

Reg. Status ISSUED Initial Reg. Jun 6, 2012 Last Updated Aug 1, 2025 Next Renewal Sep 23, 2026 Corroboration FULLY_CORROBORATED Managing LOU Nordic Legal Entity Identifier AB Reg. Authority Trade and Company Register

Addresses

Legal / Registered Address
5 Hohenhof
Senningerberg
LU-LU
L-1736
LU
Headquarters Address
5 Hohenhof
Senningerberg
LU-LU
L-1736
LU

A Other Names & Aliases

1 alternative name registered for this entity

Schroder Investment Management (Luxembourg) S.A. PREVIOUS_LEGAL_NAME · lb

📅 Registration Timeline

First Issued
Jun 6, 2012 — LEI initially registered
Last Updated
Aug 1, 2025 — Record data last refreshed
Next Renewal
Sep 23, 2026 — Upcoming renewal deadline

Data Quality

90%
9 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

8AFA
YMK90I2QVGLMLS
34
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

Parent Entities (2)

SCHRODERS PLC Direct Parent

This entity is directly consolidated by its parent in accounting terms.

SCHRODERS PLC Ultimate Parent

This entity is ultimately consolidated by the top-level parent entity.

Subsidiaries & Children (275)

GLOBAL SUSTAINABLE GROWTH is fund-managed by
EURO SERIES - EURO BALANCED is fund-managed by
GLOBAL CITIES is fund-managed by
EUROPEAN SMALLER COMPANIES is fund-managed by
GLOBAL CORPORATE BOND is fund-managed by
SCHRODER STERLING CASH FUND is fund-managed by
INFLATION PLUS is fund-managed by
SCHRODER ALTERNATIVE SOLUTIONS is fund-managed by
SCHRODER GAIA is fund-managed by
EGERTON EQUITY is fund-managed by
EMERGING MARKET BOND is fund-managed by
EURO SERIES - EURO BOND is fund-managed by
QEP GLOBAL ACTIVE VALUE is fund-managed by
EURO EQUITY is fund-managed by
EURO CORPORATE BOND is fund-managed by
QEP EMERGING MARKETS CORE is fund-managed by
LIFE INSURANCE LINKED IV is fund-managed by
Wellington Macro is fund-managed by
CHINA A ALL CAP is fund-managed by
Senior Loans EUR is fund-managed by
Schroders Greencoat Europe SCSp is fund-managed by
Global Energy Infrastructure is fund-managed by
Global Consumer Trends is fund-managed by
EMERGING MARKETS EQUITY IMPACT is fund-managed by
FIXED MATURITY BOND (IV) is fund-managed by
BESPOKE INVESTMENT FUND 7 is fund-managed by
COMMODITY is fund-managed by
DIVERSIFIED ALTERNATIVE ASSETS is fund-managed by
DYNAMIC OPPORTUNITIES is fund-managed by
SUSTAINABLE EURO CREDIT is fund-managed by
STRATEGIC CREDIT is fund-managed by
COMMODITY TOTAL RETURN FUND is fund-managed by
BESPOKE INVESTMENT FUND 11 is fund-managed by
BESPOKE INVESTMENT FUND 12 is fund-managed by
QEP GLOBAL ESG EX FOSSIL FUELS is fund-managed by
Nordic Smaller Companies is fund-managed by
Green Earth Impact Fund is fund-managed by
SUSTAINABLE MULTI-FACTOR EQUITY is fund-managed by
GLOBAL RECOVERY is fund-managed by
CARBON NEUTRAL CREDIT is fund-managed by
Wealth Management USD Balanced is fund-managed by
OAKTREE CREDIT is fund-managed by
ASIAN DIVIDEND MAXIMISER is fund-managed by
EUROPEAN SUSTAINABLE EQUITY is fund-managed by
WEALTH MANAGEMENT USD GROWTH is fund-managed by
GLOBAL CREDIT INCOME is fund-managed by
SUSTAINABLE ASIAN EQUITY is fund-managed by
BESPOKE INVESTMENT FUND 15 is fund-managed by
GLOBAL INNOVATION is fund-managed by
LIFE INSURANCE LINKED I is fund-managed by
CONTOUR TECH EQUITY is fund-managed by
ROBOTICS AND AUTOMATION is fund-managed by
BESPOKE INVESTMENT FUND 17 is fund-managed by
GLOBAL SUSTAINABLE VALUE is fund-managed by
TWO SIGMA DIVERSIFIED is fund-managed by
EUROPEAN ALPHA ABSOLUTE RETURN is fund-managed by
Commodity Evolution is fund-managed by
BESPOKE INVESTMENT FUND 16 is fund-managed by
LIFE INSURANCE LINKED III is fund-managed by
Structured Income is fund-managed by
FIXED MATURITY BOND (III) is fund-managed by
GLOBAL TARGET RETURN is fund-managed by
HELIX is fund-managed by
GLOBAL PRIVATE EQUITY ELTIF is fund-managed by
Cazenove GBP Balanced is fund-managed by
GLOBAL ALTERNATIVE ENERGY is fund-managed by
INDIAN OPPORTUNITIES is fund-managed by
PRIVATE EQUITY ELTIF 2023 is fund-managed by
Asian Equity Long Short is fund-managed by
EMERGING MARKETS MULTI-ASSET is fund-managed by
SECURITISED CREDIT is fund-managed by
EURO CREDIT CONVICTION is fund-managed by
ASIAN LOCAL CURRENCY BOND is fund-managed by
EQUITY SENTINEL FUND is fund-managed by
NORDIC MICRO CAP is fund-managed by
SUSTAINABLE INFRASTRUCTURE is fund-managed by
High Yield EUR is fund-managed by
ALL CHINA CREDIT INCOME is fund-managed by
BLUETREND is fund-managed by
GLOBAL GOLD is fund-managed by
ASIAN BOND TOTAL RETURN is fund-managed by
CAT BOND is fund-managed by
SUSTAINABLE GLOBAL MULTI CREDIT is fund-managed by
EMERGING MARKETS VALUE is fund-managed by
SEG US Equity is fund-managed by
INFLATION ONLY 2018-2032 FUND is fund-managed by
Schroders Capital is fund-managed by
EUROPEAN LOANS is fund-managed by
BESPOKE INVESTMENT FUND 14 is fund-managed by
ALL CHINA EQUITY is fund-managed by
EMERGING MARKETS EQUITY ALPHA is fund-managed by
SIRIOS US EQUITY is fund-managed by
FIXED MATURITY BOND VI is fund-managed by
Schroders Capital Semi-Liquid is fund-managed by
WELLINGTON PAGOSA is fund-managed by
ASIAN CREDIT OPPORTUNITIES is fund-managed by
HEALTHCARE INNOVATION is fund-managed by
SCHRODER FUNDS ICAV is fund-managed by
FLEXIBLE CAT BOND is fund-managed by
BESPOKE INVESTMENT FUND 18 is fund-managed by
GLOBAL INNOVATION PRIVATE PLUS is fund-managed by
GLOBAL PRIVATE EQUITY is fund-managed by
RAVGDT DIVERSIFIE SCHRODER IM is fund-managed by
ASIAN EQUITY IMPACT is fund-managed by
Luxembourg Earth Impact Fund is fund-managed by
Global Climate Leaders is fund-managed by
European Leased Hotels Fund is fund-managed by
BESPOKE INVESTMENT FUND 13 is fund-managed by
ALTERNATIVE SECURITISED INCOME is fund-managed by
GLOBAL REAL ESTATE TOTAL RETURN is fund-managed by
CHINA A is fund-managed by
SOCIAL IMPACT CREDIT is fund-managed by
QEP GLOBAL ESG is fund-managed by
Investment Grade EUR is fund-managed by
CIRCULAR ECONOMY is fund-managed by
LIFE INSURANCE LINKED II is fund-managed by
IRCEC PANTONE AI is fund-managed by
US LARGE CAP is fund-managed by
EUROPEAN DIVIDEND MAXIMISER is fund-managed by
NEW MARKET SERIES - ASIAN BOND is fund-managed by
EURO BOND is fund-managed by
SCHRODER STABLE GROWTH FUND is fund-managed by
OA Fund Schroders is fund-managed by
Global Equity Impact is fund-managed by
FIXED MATURITY BOND 7 is fund-managed by
FIXED MATURITY BOND 12 is fund-managed by
OA Global Corporate is fund-managed by
Wealth Management Global Equity is fund-managed by
FIXED MATURITY BOND 8 is fund-managed by
OPTIMUM EURO CREDIT is fund-managed by
Schroders Greencoat US - A SCSp is fund-managed by
AAA Flexible ABS is fund-managed by
Sino I is fund-managed by
FIXED MATURITY BOND 10 is fund-managed by
Emerging Markets ex China is fund-managed by
High Income Credit is fund-managed by
Global Direct IV Access is fund-managed by
FIXED MATURITY BOND 11 is fund-managed by
FIXED MATURITY BOND 13 is fund-managed by
Windmill Infrastructure Debt 1 is fund-managed by
FIXED MATURITY BOND 9 is fund-managed by
EMERGING EUROPE is fund-managed by
MID INFRA II SLP is fund-managed by
CNP ACTIONS EUROPE SCHRODERS is fund-managed by
GLOBAL SERIES - COMMODITY is fund-managed by
US SMALL & MID-CAP EQUITY is fund-managed by
GLOBAL MULTI-ASSET INCOME is fund-managed by
ASIAN TOTAL RETURN is fund-managed by
QEP GLOBAL QUALITY is fund-managed by
EMERGING MARKETS is fund-managed by
EMERGING MARKETS HARD CURRENCY is fund-managed by
JAPAN DGF is fund-managed by
GLOBAL EQUITY YIELD is fund-managed by
GLOBAL ENERGY is fund-managed by
JAPANESE EQUITY is fund-managed by
TAIWANESE EQUITY is fund-managed by
CHINA OPPORTUNITIES is fund-managed by
MULTI-ASSET GROWTH AND INCOME is fund-managed by
QEP GLOBAL CORE is fund-managed by
GREATER CHINA is fund-managed by
US DOLLAR LIQUIDITY is fund-managed by
INDIAN EQUITY is fund-managed by
GLOBAL SMALLER COMPANIES is fund-managed by
NEW MARKET SERIES - BIC EQUITY is fund-managed by
GLOBAL DIVIDEND MAXIMISER is fund-managed by
EURO HIGH YIELD is fund-managed by
US DOLLAR BOND is fund-managed by
JAPANESE OPPORTUNITIES is fund-managed by
GLOBAL CREDIT HIGH INCOME is fund-managed by
Schroder Selection is fund-managed by
EURO GOVERNMENT BOND is fund-managed by
CHINA LOCAL CURRENCY BOND is fund-managed by
ASIAN EQUITY YIELD is fund-managed by
GLOBAL EQUITY ALPHA is fund-managed by
EMERGING ASIA is fund-managed by
GLOBAL BOND is fund-managed by
SCHRODER MATCHING PLUS is fund-managed by
SWISS EQUITY is fund-managed by
FRONTIER MARKETS EQUITY is fund-managed by
EUROPEAN SPECIAL SITUATIONS is fund-managed by
ITALIAN EQUITY is fund-managed by
EURO SHORT TERM BOND is fund-managed by
BIC (BRAZIL, INDIA, CHINA) is fund-managed by
GLOBAL HIGH YIELD is fund-managed by
GLOBAL MULTI-ASSET BALANCED is fund-managed by
UK EQUITY is fund-managed by
HONG KONG DOLLAR BOND is fund-managed by
LATIN AMERICAN is fund-managed by
EUROPEAN EQUITY IMPACT is fund-managed by
STRATEGIC BOND is fund-managed by
COMMODITY FUND is fund-managed by
EUROPEAN VALUE is fund-managed by
US SMALLER COMPANIES IMPACT is fund-managed by
GLOBAL INFLATION LINKED BOND is fund-managed by
JAPANESE SMALLER COMPANIES is fund-managed by
GLOBAL CLIMATE CHANGE EQUITY is fund-managed by
ASIAN CONVERTIBLE BOND is fund-managed by
EURO LIQUIDITY is fund-managed by
STERLING LIQUIDITY PLUS is fund-managed by
GLOBAL DIVERSIFIED GROWTH is fund-managed by
GLOBAL CONVERTIBLE BOND is fund-managed by
GLOBAL SERIES - YIELD EQUITY is fund-managed by
SWISS SMALL & MID CAP EQUITY is fund-managed by
GLOBAL EQUITY is fund-managed by
HONG KONG EQUITY is fund-managed by
EURO SERIES - EURO EQUITY is fund-managed by
ASIAN OPPORTUNITIES is fund-managed by

? Frequently Asked Questions

What is the LEI number for SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.? +

The Legal Entity Identifier (LEI) for SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. is 8AFAYMK90I2QVGLMLS34. This 20-character code uniquely identifies SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. in global financial transactions as per ISO 17442.

Is SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.'s LEI active? +

Yes, SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.'s LEI is currently active (registration status: ISSUED). The record was last updated on Aug 1, 2025 and is due for renewal on Sep 23, 2026.

Where is SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. registered? +

SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A. is registered in Luxembourg (jurisdiction: LU). The entity is registered under business register number B37799.

Who owns SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.? +

According to GLEIF Level 2 relationship data, SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A.'s parent entity is SCHRODERS PLC. This ownership information is based on accounting consolidation data reported to the Global LEI System.

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 SCHRODER INVESTMENT MANAGEMENT (EUROPE) S.A., registered in Luxembourg. The LEI code 8AFAYMK90I2QVGLMLS34 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.