HSBC GLOBAL ASSET MANAGEMENT (FRANCE)

W85O53OGKSNJNYNJES25Copied!

ACTIVE ISSUED 🇫🇷 France

HSBC GLOBAL ASSET MANAGEMENT (FRANCE) is an active legal entity registered in France (FR). LEI code: W85O53OGKSNJNYNJES25. The LEI was first issued on Jun 6, 2012 and is managed by LOU 213800WAVVOPS85N2205. Next renewal is due Oct 31, 2026.

Entity Details

LEI Code W85O53OGKSNJNYNJES25 Legal Name HSBC GLOBAL ASSET MANAGEMENT (FRANCE) Status ACTIVE Jurisdiction 🇫🇷 France (FR) Category General Entities Legal Form SA à conseil d'administration (s.a.i.) Registration # 421 345 489

Registration & Compliance

Reg. Status ISSUED Initial Reg. Jun 6, 2012 Last Updated Sep 29, 2025 Next Renewal Oct 31, 2026 Corroboration FULLY_CORROBORATED Managing LOU DTCC (Global Markets Entity Identifier Utility) Reg. Authority Register of Companies (Sirene)

Addresses

Legal / Registered Address
DU GÉNÉRAL DE GAULLE - COEUR DÉFENSE - 110
ESPLANADE LA DÉFENSE 4
COURBEVOIE
FR-IDF
92400
FR
Headquarters Address
DU GÉNÉRAL DE GAULLE - COEUR DÉFENSE - 110
ESPLANADE LA DÉFENSE 4
COURBEVOIE
FR-IDF
92400
FR

A Other Names & Aliases

1 alternative name registered for this entity

HSBC ASSET MANAGEMENT (EUROPE) SA / HSBC INVESTMENTS (FRANCE) SA PREVIOUS_LEGAL_NAME · en

📅 Registration Timeline

First Issued
Jun 6, 2012 — LEI initially registered
Last Updated
Sep 29, 2025 — Record data last refreshed
Next Renewal
Oct 31, 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

W85O
53OGKSNJNYNJES
25
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)

HSBC BANK PLC Direct Parent

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

HSBC HOLDINGS PLC Ultimate Parent

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

Subsidiaries & Children (133)

HSBC REIM (FRANCE) Direct Parent
SELECT ADVENTUROUS is fund-managed by
SELECT FLEXIBLE is fund-managed by
HS 2014 EURO IG INCOME FUND is fund-managed by
SELECT CAUTIOUS is fund-managed by
HS EU HIGH YIELD FUND is fund-managed by
SELECT BALANCED is fund-managed by
SELECT DYNAMIC is fund-managed by
FDC SICAV EUR BONDS - ACTIVE 2 is fund-managed by
HSBC EURO PROTECT 80+ is fund-managed by
HSBC EURO SHORT TERM BOND FUND is fund-managed by
BOURBON 7 is fund-managed by
CENTRAL VALOR SP FCP is fund-managed by
VALLET FDF is fund-managed by
HSBC EE ISR ACTIONS EURO is fund-managed by
HSBC EE HORIZON 2034-2036 is fund-managed by
NOVARTIS PHARMA ACTIONNARIAT is fund-managed by
MOD VALOR SP FCP is fund-managed by
HSBC EE DIVERSIFIE EMERGENTS is fund-managed by
HSBC SELECT DYNAMIC is fund-managed by
NOVARTIS PHARMA DYNAMIQUE is fund-managed by
VILLIERS EQUILIBRE is fund-managed by
HSBC CONTINENTAL EUROPE ACTIONS is fund-managed by
OXYGENE is fund-managed by
HSBC EE MODERE is fund-managed by
EUROFIN PLUS SP is fund-managed by
HSBC EE HORIZON TRES LONG TERME is fund-managed by
HSBC ACTIONS FRANCE is fund-managed by
HSBC SELECT EQUITY is fund-managed by
HSBC SELECT FLEXIBLE is fund-managed by
HSBC SELECT BALANCED is fund-managed by
ORANO DIVERSIFIE EQUILIBRE is fund-managed by
HSBC EE EURO PME is fund-managed by
OPPORTUNITES COURT TERME is fund-managed by
HSBC MULTI-ASSET STYLE FACTORS is fund-managed by
SCHNEIDER DIVERSIFIE is fund-managed by
HSBC MIX EQUILIBRE is fund-managed by
HSBC EURO GVT BOND FUND is fund-managed by
WAVESTONE ACTIONS is fund-managed by
HSBC ESG EURO MONEY MARKET is fund-managed by
VALORISATION MOBILIERE SP is fund-managed by
HALEVY BM 2 is fund-managed by
HSBC PB SP is fund-managed by
CARREFOUR DYNAMIQUE is fund-managed by
ERISA ACTIONS GRANDES VALEURS is fund-managed by
ARRCO LONG TERME F is fund-managed by
HAVAS(HAV2) is fund-managed by
HSBC ACTIONS MONDE is fund-managed by
ACTIONS MONDE ET EUROPE is fund-managed by
ERISA ACTIONS EUROPE N2 is fund-managed by
IRP AUTO OBLIGATIONS 1 is fund-managed by
HSBC EE TEMPERE is fund-managed by
HSBC CLIC EURO 85 is fund-managed by
HSBC EE HORIZON 2028-2030 is fund-managed by
HSBC EUROPE EQUITY INCOME is fund-managed by
HSBC EE ISR ACTIONS MONDE is fund-managed by
H & M ACTIONNARIAT is fund-managed by
HSBC MF OBLICREDIT EURO is fund-managed by
HSBC EE HORIZON 2037-2039 is fund-managed by
HSBC EE EQUILIBRE is fund-managed by
IRCOM RETRAITE DIVERSIFIE 2 is fund-managed by
COPERNICIUM is fund-managed by
DUGUAY STRATEGIE is fund-managed by
FUNDY is fund-managed by
HSBC FRENCH GOVERNMENT BONDS is fund-managed by
IBM FRANCE F 'IBM F' is fund-managed by
HSBC ACTIONS EUROPE is fund-managed by
ACTIONS MONDE ET EMERGENT is fund-managed by
DUGUAY SAINT MARTIN is fund-managed by
INTEGRAL VALOR SP FCP is fund-managed by
HSBC EE HORIZON 2043-2045 is fund-managed by
HSBC STANDARD EURO MONEY MARKET is fund-managed by
HSBC MICROCAPS EURO is fund-managed by
BALADAU SP is fund-managed by
HSBC EURO PME is fund-managed by
HSBC EE ISR MONETAIRE is fund-managed by
FAC DIVERSIFIE (FAC D) is fund-managed by
VILLIERS ACTIONS FUTUR is fund-managed by
BRUYERE SP is fund-managed by
HSBC ACTIONNARIAT SALARIE is fund-managed by
HSBC EE HORIZON 2031-2033 is fund-managed by
HSBC EE HORIZON MONETAIRE is fund-managed by
DUGUAY OBLIGATIONS is fund-managed by
DECAVAL is fund-managed by
TESLA is fund-managed by
HSBC MIX DYNAMIQUE is fund-managed by
HSBC MULTI-ASSET DYNAMIC EURO is fund-managed by
HSBC SMALL CAP FRANCE is fund-managed by
ACTION VALOR SP FCP is fund-managed by
HSBC EE OBLIGATIONS is fund-managed by
HSBC SELECT MODERATE is fund-managed by
HSBC WORLD EQUITY PROTECT 80 is fund-managed by
HSBC ACTIONS PATRIMOINE is fund-managed by
HSBC EE HORIZON 2025-2027 is fund-managed by
HSBC EE ACTIONS FRANCE is fund-managed by
FDJ MODERE ISR is fund-managed by
VILLIERS SERENITE is fund-managed by
GROUPE CEA CROISSANCE ('CEA 2') is fund-managed by
HSBC EE HORIZON 2040-2042 is fund-managed by
DUGUAY ACTIONS EUROPE is fund-managed by
HSBC MIX MODERE is fund-managed by
VANADIUM is fund-managed by
HSBC CAVAMAC OBLIGATIONS is fund-managed by
HSBC EE DYNAMIQUE is fund-managed by

? Frequently Asked Questions

What is the LEI number for HSBC GLOBAL ASSET MANAGEMENT (FRANCE)? +

The Legal Entity Identifier (LEI) for HSBC GLOBAL ASSET MANAGEMENT (FRANCE) is W85O53OGKSNJNYNJES25. This 20-character code uniquely identifies HSBC GLOBAL ASSET MANAGEMENT (FRANCE) in global financial transactions as per ISO 17442.

Is HSBC GLOBAL ASSET MANAGEMENT (FRANCE)'s LEI active? +

Yes, HSBC GLOBAL ASSET MANAGEMENT (FRANCE)'s LEI is currently active (registration status: ISSUED). The record was last updated on Sep 29, 2025 and is due for renewal on Oct 31, 2026.

Where is HSBC GLOBAL ASSET MANAGEMENT (FRANCE) registered? +

HSBC GLOBAL ASSET MANAGEMENT (FRANCE) is registered in France (jurisdiction: FR). The entity is registered under business register number 421 345 489.

Who owns HSBC GLOBAL ASSET MANAGEMENT (FRANCE)? +

According to GLEIF Level 2 relationship data, HSBC GLOBAL ASSET MANAGEMENT (FRANCE)'s parent entity is HSBC HOLDINGS 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 HSBC GLOBAL ASSET MANAGEMENT (FRANCE), registered in France. The LEI code W85O53OGKSNJNYNJES25 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.