You are here

AFS: MIRVAC FUNDS MANAGEMENT LIMITED Information

This is the detailed information about MIRVAC FUNDS MANAGEMENT LIMITED, it is the Australian Financial Services licensee(abbreviation: AFS ), its unique identifying number allocated to the AFS licensee is 220718, the start date of the AFS licensee is 2002-12-24 (YYYY-MM-DD), the current principal business address of the AFS licensee is SYDNEY, NSW, Australia, the name of the register the record belongs to AFS Licence. This data update on: 2020-10-19 15:01:24.

AFS licensee Number: 220718
AFS licensee Name: MIRVAC FUNDS MANAGEMENT LIMITED
Start Date of The AFS Licensee: 2002-12-24
The Country of The Current Principal Business Address: Australia
AFS Licensee State: NSW
AFS Licensee Postcode: 2000
AFS Licensee Town: SYDNEY
AFS licensee's ABN or ACN: 78067417663
AFS Lic Pre FSR: SecDlr 174162~SecDlr 200705
AFS Licensee Latitude: -33.907256
AFS Licensee Longitude: 151.034287
The Licensee is Authorised to Provide under their licence: This licence authorises the licensee to carry on a financial services business to:~provide financial product advice for the following classes of financial products to wholesale clients only:~interests in managed investment schemes excluding investor directed portfolio services; and~securities;~provide general financial product advice for the following classes of financial products:~interests in managed investment schemes excluding investor directed portfolio services; and~securities;~deal in a financial product by:~issuing, applying for, acquiring, varying or disposing of a financial product in respect of the following classes of financial products:~derivatives;~foreign exchange contracts;~interests in managed investment schemes excluding investor directed portfolio services; and~securities;~applying for, acquiring, varying or disposing of a financial product on behalf of another person in respect of the following classes of products:~deposit and payment products limited to:~basic deposit products;~deposit products other than basic deposit products;~derivatives;~foreign exchange contracts;~general insurance products;~interests in managed investment schemes excluding investor directed portfolio services; and~securities; and~underwriting:~interests in managed investment schemes; and~an issue of securities;~operate the following kinds of registered managed investment schemes (including the holding of any incidental property) in its capacity as responsible entity:~schemes which only hold the following types of property:~direct real property;~financial assets; and~mortgages; and~provide the following custodial or depository services:~operate custodial or depository services other than investor directed portfolio services;~to retail and wholesale clients.
Update Time: 2020-10-19 15:01:24