Český fond lesů SICAV, a.s.

LEI: 315700OQWMORC40BOK48
Czechia
Last updated: May 25, 2026
ACTIVEISSUED

Entity Information

Legal Entity Identifier (LEI)
315700OQWMORC40BOK48
Registration ID
10867368(ID: RA000163)
Legal Form
6CQN
Jurisdiction
Czechia
Legal address country
Czechia

Entity Names

Legal Name

Český fond lesů SICAV, a.s.(Language: cs)

Transliterated Names

  • Cesky fond lesu SICAV, a.s.(Language: cs)

Addresses

Legal Address

Rybná 682/14
Praha, CZ-10, 110 00, Czechia

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Headquarters Address

c/o Conseq Funds investiční společnost, a.s.
Rybná 682/14
Praha 1, CZ-10, 110 05, Czechia

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Additional Information

Entity Status

Current Status

ACTIVE

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Reference Guide

LEI status meaning

This LEI is issued, which usually means the registration is active and suitable for current reference and compliance checks.

Renewal date

The next renewal date is June 7, 2027. This is the key deadline for keeping the LEI record current.

Jurisdiction

Český fond lesů SICAV, a.s. is registered under jurisdiction CZ. Match that jurisdiction with the legal address and local registration number before relying on the LEI.

Parent and ultimate parent

Direct parent is linked to LEI 3157008XLKPFC7X0N926, with relationship status active. Ultimate parent is linked to LEI 3157008XLKPFC7X0N926, with relationship status active.

How to verify this entity

  1. •Match the legal name "Český fond lesů SICAV, a.s." to the entity you expect.
  2. •Check local registration number 10867368 against authority RA000163.
  3. •Confirm the validation source RA000856 and reference 10867368.

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Entity & LEI Status Summary

This Legal Entity Identifier (LEI) record pertains to Český fond lesů SICAV, a.s., identified by the LEI 315700OQWMORC40BOK48. The entity is formally registered under the jurisdiction of Czechia (via RA000163, registered as 10867368) and lists its legal address country as Czechia. It operates under the legal structure defined as "6CQN", classified under the category "FUND".

The current operational status of the entity is reported as "ACTIVE". The LEI registration itself is currently "ISSUED", managed by the Local Operating Unit (LOU) 315700LK78Z7C0WMIL03. Key dates associated with this registration include its initial establishment on May 31, 2021, its most recent update on May 25, 2026, and a scheduled renewal date of Jun 7, 2027.

Maintaining an active and up-to-date LEI is crucial for Český fond lesů SICAV, a.s. to ensure continuous participation in global financial markets and regulatory reporting. The corroboration level for this record is "FULLY_CORROBORATED", indicating the extent to which the information has been verified against official registers. The primary validation of this information was performed by RA000856 (as 10867368).

Registration Details

Timeline

  • Initial Registration
    May 31, 2021
  • Last Updated
    May 25, 2026
  • Next Renewal
    Jun 7, 2027

Validation

Primary Validation

Authority ID
RA000856
Registration Number
10867368

Status Information

Registration Status
ISSUED
Corroboration Level
FULLY_CORROBORATED

Managing Authority

Local Operating Unit (LOU)
315700LK78Z7C0WMIL03

Corporate Structure

Direct Parent

Parent Entity

LEI: 3157008XLKPFC7X0N926

Relationship: IS DIRECTLY CONSOLIDATED BYStatus: ACTIVE
View Details

Ultimate Parent

Ultimate Parent Entity

LEI: 3157008XLKPFC7X0N926

Relationship: IS ULTIMATELY CONSOLIDATED BYStatus: ACTIVE
View Details

Corporate Structure Visualization

Direct & Ultimate Parent
LEI: 3157008XLKPFC7X0N926
View Details
Colin, a.s.
LEI: 315700MOV78GSI5KXU15
View Details
Conseq privátního financování, podfond Conseq FKvI 2 SICAV
LEI: 315700LMECB7QBYO2I63
View Details
Conseq FKvI 2 SICAV, a.s.
LEI: 315700W5EREGR8L39D06
View Details
Conseq Venture Debt 2 fond fondů, otevřený podílový fond
LEI: 3157003TRAEZUJXWXW67
View Details
Conseq BNP Paribas Co-Invest Fund 2, otevřený podílový fond
LEI: 315700BC8ITDVIG7VQ21
View Details
Conseq penzijní společnost, a.s.
LEI: 315700EMA7ODNROESX30
View Details
Conseq Investment Management, a.s.
LEI: 315700VG7PTE9EJJRX01
View Details
Siblings
Český fond lesů SICAV, a.s.
LEI: 315700OQWMORC40BOK48
Český podfond lesů
LEI: 315700LG1MYBL2UOS136
View Details
Legend:
Current Entity
Parent Entity
Child Entity
Sibling Entity
Owned by / Child of
Owns / Parent of
Exception Reported

Relationship overview showing parent, sibling, and child entities linked to this LEI.

Child Entities

Český podfond lesů

LEI: 315700LG1MYBL2UOS136

View Details