Public LEI record · Global LEI Index

France

NATIXIS WEALTH MANAGEMENT

31 AVENUE PIERRE IER DE SERBIE, PARIS, 75116, FR

Legal Entity Identifier 969500892AQHFDSWRF71
Entity status
Active
LEI status
Issued
Policy conformity
Conforming
Reference data
Register-verified
Next renewal
3 Feb 2027
LEI Issuer
Insee

Record snapshot

The Legal Entity Identifier for NATIXIS WEALTH MANAGEMENT is 969500892AQHFDSWRF71. It is valid, policy conforming and renewed until 3 Feb 2027.

NATIXIS WEALTH MANAGEMENT is a SA à conseil d'administration (s.a.i.) formed in France, registered as 306063355 with Register of Companies (Sirene), France. The LEI was registered on 26 Jan 2014 and has been renewed 8 times since. At its last validation on 27 Jun 2026, all of its Level 1 reference data was confirmed against Register of Companies (Sirene), France. It reports BPCE as its ultimate parent. Insee maintains the record.

146 Days left in this cycle
Transfer to RapidLEI A transfer changes which LEI Issuer manages the record. The LEI code and its reference data do not change.

Record lifecycle

Eight successful renewals in 13 years.

First LEI registered on 26 Jan 2014, with 8 renewals recorded. The next renewal falls due on 3 Feb 2027, which is 5 months from today.

26 Jan 2014 LEI issued Eight renewal marks Each mark is a renewal that completed 3 Feb 2027 Next renewal due

Registered entity Level 1 data

Legal name
NATIXIS WEALTH MANAGEMENT
Legal form
SA à conseil d'administration (s.a.i.) K65D
Trading name
VEGA FINANCE ASSET MANAGEMENT - VEGA DIRECT - BANQUE DE L'EPARGNE - VEGACTIF (VEG@CTIF) - VEGA FINAN
Jurisdiction
France FR
Registration
Registered at Register of Companies (Sirene), France RA000189. Registration number 306063355
Entity created
31 Dec 1975
Legal address
31 AVENUE PIERRE IER DE SERBIE, PARIS, 75116, FR
Connected identifiers
BICCOBPFRP1XXX OpenCorporatesfr/306063355 QCCQFR8G8AXGV S&P Capital IQ36657205 Other identifiers recorded against this LEI.
Securities
FR0000165540 FR0004026185 2 ISINs are mapped to this LEI in the ANNA and GLEIF ISIN-to-LEI file.

What this record’s status means

Reference data
Register-verified GLEIF records this as fully corroborated. At its last validation, all of the entity's Level 1 reference data was verified against an authoritative public source.

Changes to this record

  1. Corporate event recorded: Change hq address.

Show 27 earlier changes
  1. The legal address was updated.

  2. The headquarters address was updated.

  3. Corporate event recorded: Change other names.

  4. Renewed. The next renewal date moved from 4 Feb 2026 to 4 Feb 2027.

  5. Renewed. The next renewal date moved from 4 Feb 2025 to 4 Feb 2026.

  6. A corporate event was recorded.

  7. Corporate event recorded: Change other names.

  8. The legal address was updated.

  9. The headquarters address was updated.

  10. Renewed. The next renewal date moved from 4 Feb 2024 to 4 Feb 2025.

  11. A corporate event was recorded.

  12. The recorded legal form was updated.

  13. The recorded legal form was updated.

  14. Corporate event recorded: Change legal form.

  15. Renewed. The next renewal date moved from 4 Feb 2023 to 4 Feb 2024.

  16. Renewed. The next renewal date moved from 4 Feb 2022 to 4 Feb 2023.

  17. Renewed. The next renewal date moved from 4 Feb 2021 to 4 Feb 2022.

  18. Registration status changed from Lapsed to Issued.

  19. Renewed. The next renewal date moved from 27 Jan 2020 to 4 Feb 2021.

  20. Registration status changed from Issued to Lapsed.

  21. The legal address was updated.

  22. The headquarters address was updated.

  23. Renewed. The next renewal date moved from 27 Jan 2019 to 27 Jan 2020.

  24. The legal address was updated.

  25. The headquarters address was updated.

  26. The recorded legal form was updated.

  27. The LEI was registered and first published to the Global LEI Index.

Ownership Level 2 data

  1. Ultimate parent
  2. Direct parent
  3. This entity

    NATIXIS WEALTH MANAGEMENT

    FR · 969500892AQHFDSWRF71

    Active

  4. Below
    0 Direct subsidiaries
    0 Ultimate subsidiaries

    The chain ends here. No other entity reports NATIXIS WEALTH MANAGEMENT as its parent, so the count is a stated zero rather than data still to arrive.

Level 2 data records who consolidates this entity. A reported relationship, or a reported reason for the absence of one, both satisfy the standard. Only a record carrying neither is incomplete.

Where this data comes from

Source registry

Register of Companies (Sirene), France

Validated against

Register of Companies (Sirene), France

Maintained by

Insee

Published in

The GLEIF Global LEI Index. This record last updated 27 Jun 2026

Reference data from the GLEIF Global LEI Index, as published on 27 Jun 2026.