NATIXIS INVESTMENT MANAGERS INTERNATIONAL

969500WCY7P9HOJNP063Copied!

ACTIVE ISSUED 🇫🇷 France

NATIXIS INVESTMENT MANAGERS INTERNATIONAL is an active legal entity registered in France (FR). LEI code: 969500WCY7P9HOJNP063. The LEI was first issued on Dec 3, 2013 and is managed by LOU 549300O897ZC5H7CY412. Next renewal is due Dec 10, 2026.

Entity Details

LEI Code 969500WCY7P9HOJNP063 Legal Name NATIXIS INVESTMENT MANAGERS INTERNATIONAL Status ACTIVE Jurisdiction 🇫🇷 France (FR) Category General Entities Legal Form société par actions simplifiée Registration # 329 450 738

Registration & Compliance

Reg. Status ISSUED Initial Reg. Dec 3, 2013 Last Updated Dec 10, 2025 Next Renewal Dec 10, 2026 Corroboration FULLY_CORROBORATED Managing LOU Nordic Legal Entity Identifier AB Reg. Authority Register of Companies (Sirene)

Addresses

Legal / Registered Address
43 AVENUE PIERRE MENDES FRANCE
PARIS
FR-75C
75013
FR
Headquarters Address
43 AVENUE PIERRE MENDES FRANCE
PARIS
FR-75C
75013
FR

A Other Names & Aliases

1 alternative name registered for this entity

NATIXIS AM TRADING_OR_OPERATING_NAME · fr

📅 Registration Timeline

First Issued
Dec 3, 2013 — LEI initially registered
Last Updated
Dec 10, 2025 — Record data last refreshed
Next Renewal
Dec 10, 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

9695
00WCY7P9HOJNP0
63
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)

BPCE Direct Parent

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

BPCE Ultimate Parent

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

Subsidiaries & Children (247)

MIROVA GLOBAL GREEN BOND FUND is fund-managed by
MIROVA US SUSTAINABLE EQUITY is fund-managed by
OSTRUM EURO INFLATION is fund-managed by
OSTRUM EURO HIGH INCOME FUND is fund-managed by
Purple Private Debt SCS RAIF is fund-managed by
OSTRUM TOTAL RETURN CREDIT is fund-managed by
OSTRUM SRI EURO AGGREGATE is fund-managed by
OSTRUM GLOBAL SUBORDINATED DEBT is fund-managed by
THEMATICS AI AND ROBOTICS FUND is fund-managed by
OSTRUM GLOBAL MINVOL EQUITY is fund-managed by
OSTRUM GLOBAL INFLATION FUND is fund-managed by
NATIXIS ESG MODERATE FUND is fund-managed by
OSTRUM TOTAL RETURN VOLATILITY is fund-managed by
OSTRUM CREDIT SHORT DURATION is fund-managed by
NATIXIS IRCEM RETRAITE is fund-managed by
THEMATICS META FUND is fund-managed by
SDW LOOMIS ABS IG is fund-managed by
ERAFP CORPORATE DEBT 2022 is fund-managed by
Mirova Funds is fund-managed by
MIROVA EURO SUSTAINABLE EQUITY is fund-managed by
OSTRUM HORIZON 2031 is fund-managed by
NATIXIS GLOBAL MULTI STRATEGIES is fund-managed by
THEMATICS WELLNESS FUND is fund-managed by
LOOMIS SAYLES EURO CREDIT FUND is fund-managed by
NATIXIS ESG DYNAMIC FUND is fund-managed by
NATIXIS ASIA EQUITY FUND is fund-managed by
NATIXIS AM FUNDS is fund-managed by
OSTRUM TOTAL RETURN SOVEREIGN is fund-managed by
DNCA GLOBAL EMERGING EQUITY is fund-managed by
HARRIS ASSOCIATES KOKUSAI FUND is fund-managed by
OSTRUM GLOBAL EMERGING BONDS is fund-managed by
NATIXIS ESG CONSERVATIVE FUND is fund-managed by
OSTRUM TOTAL RETURN CONSERVATIV is fund-managed by
OSTRUM EUROPE MINVOL EQUITY is fund-managed by
OSTRUM TOTAL RETURN DYNAMIC is fund-managed by
THEMATICS WATER FUND is fund-managed by
MIROVA CLIMATE EQUITY is fund-managed by
THEMATICS SAFETY FUND is fund-managed by
MIROVA BIODIVERSITY EQUITY is fund-managed by
Mirova Defensive Allocation is fund-managed by
THEMATICS HEALTH FUND is fund-managed by
LOOMIS SAYLES EURO CREDIT FUND is fund-managed by
MIROVA GLOBAL THEMATIC EQUITY is fund-managed by
OSTRUM EURO EQUITY INCOME is fund-managed by
NATIXIS HORIZON is fund-managed by
MIROVA OBLI EURO is fund-managed by
VEGA EURO CALL 2030 is fund-managed by
FRUCTIFONDS PROFIL 9 is fund-managed by
OSTRUM SRI CROSSOVER is fund-managed by
OSTRUM US EQUITY is fund-managed by
RESERVE ECUREUIL is fund-managed by
VEGA GRANDE ASIE is fund-managed by
AVENIR RETRAITE 2050-2054 is fund-managed by
VEGA OBLIGATIONS EURO ISR is fund-managed by
MIROVA EMPLOI FRANCE is fund-managed by
NATIXIS ACTIONS US GROWTH is fund-managed by
IRISEA N°2 RESERVE is fund-managed by
CARPIMKO INTERNATIONAL is fund-managed by
NATIXIS PROFIL SERENITE is fund-managed by
ZELIS ACTIONS MONDE is fund-managed by
SEQUOIA RELAIS 2024 is fund-managed by
PARMA PEA NOVEMBRE 2025 is fund-managed by
NATIXIS PROFIL DYNAMIQUE is fund-managed by
OSTRUM EUROPE EQUITY is fund-managed by
VEGA ALPHA OPPORTUNITES ISR is fund-managed by
OSTRUM SRI CREDIT 6M is fund-managed by
ESSENTIEL CONVICTIONS is fund-managed by
OCCITAN INTERNATIONAL is fund-managed by
GESTION MASTER FRANCE is fund-managed by
FCP RELAIS PEA 2 is fund-managed by
PARMA PEA is fund-managed by
AVENIR RETRAITE 2045-2049 is fund-managed by
INGENICO ACTIONNARIAT FRANCE is fund-managed by
AVENIR RETRAITE 2060-2064 is fund-managed by
OSTRUM SRI EURO BONDS 5-7 is fund-managed by
FRUCTIFONDS PROFIL 6 is fund-managed by
BIB PRIMAUTE is fund-managed by
CLS EQUILIBRE SOLIDAIRE is fund-managed by
SELECTIZ PLUS is fund-managed by
NATIXIS HORIZON 2035-2039 is fund-managed by
SELECTIZ is fund-managed by
CORALIUM JUIN 2026 is fund-managed by
ALBIOMA CLASSIC is fund-managed by
NATIXIS HORIZON 2025-2029 is fund-managed by
OSTRUM SRI EURO BONDS 3-5 is fund-managed by
NATIXIS HORIZON 2050-2054 is fund-managed by
VEGA EURO RENDEMENT ISR is fund-managed by
CORALIUM PEA MARS 2023 is fund-managed by
OSTRUM SRI MONEY PLUS is fund-managed by
VEGA MONDE RENDEMENT is fund-managed by
NATIXIS HORIZON 2055-2059 is fund-managed by
ECUREUIL PROFIL 90 is fund-managed by
ECUREUIL PROFIL 50 is fund-managed by
NATIXIS HORIZON 2045-2049 is fund-managed by
OSTRUM ACTIONS CAC 40 is fund-managed by
VEGACTIVE PROTÉGÉE MARS 2031 is fund-managed by
NATIXIS ESG PEA is fund-managed by
VEGA TRANSFORMATION RESPONSABLE is fund-managed by
FRUCTIFONDS PROFIL 3 is fund-managed by
OSTRUM CREDIT EURO 1-3 is fund-managed by
ALLOCATION PILOTEE EQUILIBRE is fund-managed by
VEGA EURO CREDIT 2028 is fund-managed by
ECUREUIL TONIQUE is fund-managed by
VEGA EURO SPREAD ISR is fund-managed by
OSTRUM EURO LIQUIDITY LVNAV is fund-managed by
ECUREUIL HARMONIE is fund-managed by
NATIXIS HORIZON 2030-2034 is fund-managed by
VEGA MONDE is fund-managed by
SEB RELAIS 2024 is fund-managed by
CORALIUM JUIN 2024 is fund-managed by
VEGA MONDE PATRIMOINE is fund-managed by
OSTRUM SRI EURO MINVOL EQUITY is fund-managed by
VEGA FRANCE OPPORTUNITES ISR is fund-managed by
NATIXIS HORIZON 2040-2044 is fund-managed by
ECUREUIL PROFIL 75 is fund-managed by
VEGA GRANDE AMERIQUE is fund-managed by
VEGA PATRIMOINE ISR is fund-managed by
ECUREUIL ACTIONS FRANCE is fund-managed by
OSTRUM EURO BONDS 1-3 is fund-managed by
NATIXIS EQUITY CAPITAL OPTIM is fund-managed by
FRUCTI FLEXIBLE 100 is fund-managed by
ALLOCATION PILOTEE OFFENSIVE is fund-managed by
VEGA EUROPE CONVICTIONS ISR is fund-managed by
VEGA EURO OPPORTUNITES ISR is fund-managed by
FCP PEA COURT TERME is fund-managed by
ECUREUIL ACTIONS MONDE is fund-managed by
ECUREUIL PROFIL 5 is fund-managed by
FCP IRISEA DECEMBRE 2025 is fund-managed by
SCHNEIDER RELAIS FRANCE 2024 is fund-managed by
NATIXIS TRADEX SOLUTIONS Direct Parent
MIROVA EUROPE ENVIRONNEMENT is fund-managed by
VEGA GRANDE EUROPE is fund-managed by
ECUREUIL ACTIONS ASIE is fund-managed by
MIROVA ACTIONS MONDE is fund-managed by
AVENIR RETRAITE 2040-2044 is fund-managed by
NATIXIS JAPAN EQUITY is fund-managed by
NATIXIS SOLUTIONS PROTECT 75 is fund-managed by
OSTRUM SRI CASH PLUS is fund-managed by
NATIXIS PROFIL EQUILIBRE is fund-managed by
VEGA EUROPE AUTONOMIE is fund-managed by
PARMA PEA NOVEMBRE 2024 is fund-managed by
THEMATICS EUROPE SELECTION is fund-managed by
VEGA EURO CREDIT 2026 is fund-managed by
PARMA PEA JUIN 2025 is fund-managed by
OSTRUM SRI CREDIT 12M is fund-managed by
VEGA COURT TERME DYNAMIQUE is fund-managed by
VEGA GLOBAL CARE ISR is fund-managed by
OSTRUM SRI EURO SOVEREIGN BONDS is fund-managed by
SEQUOIA ISR ACTIONS EURO is fund-managed by
OSTRUM SRI CASH is fund-managed by
PARMA PEA JUILLET 2026 is fund-managed by
IRISEA ENVIRONNEMENT is fund-managed by
INSERTION EMPLOIS DYNAMIQUE is fund-managed by
NATIXIS DIVERSIFIED SOLUTION is fund-managed by
MIROVA ACTIONS EUROPE is fund-managed by
VEGA EUROPE ACTIVE is fund-managed by
ECUREUIL SRI OBLI MOYEN TERME is fund-managed by
OSTRUM SRI MONEY 6M is fund-managed by
AVENIR RETRAITE 2030-2034 is fund-managed by
AVENIR RETRAITE 2035-2039 is fund-managed by
OSTRUM CROSSOVER 2026 is fund-managed by
FRUCTI PEA SERENITE is fund-managed by
CORALIUM PEA JUILLET 2026 is fund-managed by
CORALIUM JUIN 2025 is fund-managed by
VEGACTIVE PROTEGEE OCTOBRE 2031 is fund-managed by
ZELIS ACTIONS AMERIQUE is fund-managed by
MIROVA ACTIONS EURO is fund-managed by
ZELIS ASIE PACIFIQUE is fund-managed by
OSTRUM SRI CREDIT EURO is fund-managed by
OSTRUM SRI MONEY is fund-managed by
VEGA DISRUPTION is fund-managed by
OSTRUM EURO SOVEREIGN 1-3 is fund-managed by
NATIXIS HORIZON 2060-2064 is fund-managed by
AVENIR RETRAITE 2025-2029 is fund-managed by
LE LIVRET PORTEFEUILLE is fund-managed by
AVENIR RETRAITE 2055-2059 is fund-managed by
ECUREUIL PROFIL 30 is fund-managed by
ELITE 1818 MONDE MULTI SECTEURS is fund-managed by
COMPARTIMENT 2 ERAFP is fund-managed by
ALLOCATION PROTECTION 80 is fund-managed by
ORGANZA DECEMBRE 2024 is fund-managed by

? Frequently Asked Questions

What is the LEI number for NATIXIS INVESTMENT MANAGERS INTERNATIONAL? +

The Legal Entity Identifier (LEI) for NATIXIS INVESTMENT MANAGERS INTERNATIONAL is 969500WCY7P9HOJNP063. This 20-character code uniquely identifies NATIXIS INVESTMENT MANAGERS INTERNATIONAL in global financial transactions as per ISO 17442.

Is NATIXIS INVESTMENT MANAGERS INTERNATIONAL's LEI active? +

Yes, NATIXIS INVESTMENT MANAGERS INTERNATIONAL's LEI is currently active (registration status: ISSUED). The record was last updated on Dec 10, 2025 and is due for renewal on Dec 10, 2026.

Where is NATIXIS INVESTMENT MANAGERS INTERNATIONAL registered? +

NATIXIS INVESTMENT MANAGERS INTERNATIONAL is registered in France (jurisdiction: FR). The entity is registered under business register number 329 450 738.

Who owns NATIXIS INVESTMENT MANAGERS INTERNATIONAL? +

According to GLEIF Level 2 relationship data, NATIXIS INVESTMENT MANAGERS INTERNATIONAL's parent entity is BPCE. 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 NATIXIS INVESTMENT MANAGERS INTERNATIONAL, registered in France. The LEI code 969500WCY7P9HOJNP063 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.