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enfusion

Registro de marca em vigor (Madri)

Marca Mista depositada no INPI em 10/06/2021 por Enfusion Ltd. LLC, processo nº 501604314, nas classes 09, 36, 42. Registro em vigor até 10/06/2031.

Número do processo501604314
SituaçãoRegistro de marca em vigor (Madri)
ApresentaçãoMista
NaturezaMadri Produto/Serviço
Data do depósito10/06/2021
Data da concessão28/03/2023
Vigência até10/06/2031
TitularEnfusion Ltd. LLC
CNPJ/CPF do titular
UF · País— · US

Classes e especificação

Classe 09 — Software e eletrônicos

Downloadable computer software for use in managing a financial portfolio, namely, software that provides information about and executes counter-party integration, market data integration, over-the-counter (OTC) valuations, OTC margin calculations, instrument valuations, portfolio valuations, cash flow analysis, price sourcing, factor model integration, liquidity analysis, custom instrument tagging, fixed income calculations, trade and position reporting, allocation e-mails, reconciliation services, intraday and end-of-day affirmation and confirmation, tax lot management, foreign exchange (FX) exposure, FX relief, trade currency normalization, maturity and expiration management, hierarchy allocation, counter-party exposure, corporate action processing, dividend and interest withholding calculations, granular profit and loss (PandL) calculations, transaction history; downloadable computer software for use in placing and managing orders for financial transactions, namely, for use in executing broker integration, alternative trading system integration, regulatory reporting, pre- and post-trade compliance, portfolio rebalancing, portfolio adjustments, order communication and scheduling, conditional alerting, position reporting, order quantity calculators, allocation schemes, short locates, end-of-day trade delivery, trade blotter, and multi asset class coverage; downloadable computer software for use in managing financial transactions, namely, for use in fund accounting, fund reporting, double-entry general ledger, balance sheets, trial balances, profit and loss (PandL) statements and cash flows, net asset value (NAV) calculations, accrual and expense management, cash management, collateral management, net and gross fund return calculation, interest calculations, collateral management, chart of accounts, cash management, bond amortization and accretion, interest calculation, NAV per share calculations, accruals and expenses; downloadable computer software for risk management of investments, investment risk exposure calculation, financial instrument exposures, portfolio stress testing, currency exposure, value at risk (VaR) analysis, conditional value at risk (CVaR) analysis, option trading exposures, liquidity analysis; downloadable computer software for visual analysis of financial and portfolio data.;

Classe 36 — Financeiro e imobiliário

Middle-office and back-office services for the asset management industry, namely, financial transaction reconciliation in the form of reconciliation of securities and option trades.;

Classe 42 — Tecnologia e pesquisa

Application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for use in investment and portfolio management; application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for use in portfolio management, namely, for counter-party integration, market data integration, over-the-counter (OTC) valuations, OTC margin calculations, instrument valuations, portfolio valuations, cash flow analysis, price sourcing, factor model integration, liquidity analysis, custom instrument tagging, fixed income calculations, trade and position reporting, allocation e-mails, reconciliation services, intraday and end-of-day affirmation and confirmation, tax lot management, foreign exchange (FX) exposure, FX relief, trade currency normalization, maturity and expiration management, hierarchy allocation, counter-party exposure, corporate action processing, dividend and interest withholding calculations, granular PandL calculations, transaction history; application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for use in the order and execution of financial transactions, namely, executing broker integration, alternative trading system integration, regulatory reporting, pre- and post-trade compliance, portfolio rebalancing, portfolio adjustments, order communication and scheduling, conditional alerting, position reporting, order quantity calculators, allocation schemes, short locates, end-of-day trade delivery, trade blotter, and multi asset class coverage; application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for managing investment fund accounting, namely, reporting, double-entry general ledger, balance sheets, trial balances, profit and loss (PandL) statements and cash flows, net asset value (NAV) calculations, accrual and expense management, cash management, collateral management, net and gross fund return calculation, interest calculations, collateral management, chart of accounts, cash management, bond amortization and accretion, interest calculation, NAV per share calculations, accruals and expenses; application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for use in risk assessment, namely, risk exposure calculation, financial instrument exposures, portfolio stress testing, currency exposure, value at risk (VaR) analysis, conditional value at risk (CVaR) analysis, option trading exposures, liquidity analysis; data warehousing; application platform as a service (APAAS) and platform as a service (PAAS) featuring software platforms for visual analysis of financial and portfolio data; providing temporary use of online non-downloadable software for use in managing a financial portfolio, namely, software that provides information about and executes counter-party integration, market data integration, over-the-counter (OTC) valuations, OTC margin calculations, instrument valuations, portfolio valuations, cash flow analysis, price sourcing, factor model integration, liquidity analysis, custom instrument tagging, fixed income calculations, trade and position reporting, allocation e-mails, reconciliation services, intraday and end-of-day affirmation and confirmation, tax lot management, foreign exchange (FX) exposure, FX relief, trade currency normalization, maturity and expiration management, hierarchy allocation, counter-party exposure, corporate action processing, dividend and interest withholding calculations, granular profit and loss (PandL) calculations, transaction history; providing temporary use of online non downloadable software for use in placing and managing orders for financial transactions, namely, for use in executing broker integration, alternative trading system integration, regulatory reporting, pre- and post-trade compliance, portfolio rebalancing, portfolio adjustments, order communication and scheduling, conditional alerting, position reporting, order quantity calculators, allocation schemes, short locates, end of-day trade delivery, trade blotter, and multi asset class coverage; providing temporary use of online non-downloadable software for use in managing financial transactions, namely, for use in fund accounting, fund reporting, double-entry general ledger, balance sheets, trial balances, profit and loss (PandL) statements and cash flows, net asset value (NAV) calculations, accrual and expense management, cash management, collateral management, net and gross fund return calculation, interest calculations, collateral management, chart of accounts, cash management, bond amortization and accretion, interest calculation, NAV per share calculations, accruals and expenses; providing temporary use of online non downloadable software for risk management of investments, investment risk exposure calculation, financial instrument exposures, portfolio stress testing, currency exposure, value at risk (VaR) analysis, conditional value at risk (CVaR) analysis, option trading exposures, liquidity analysis; providing temporary use of online non-downloadable software for visual analysis of financial and portfolio data.;

Acompanhe este processo

Receba um e-mail a cada novo despacho publicado na RPI para o processo 501604314 — exigência, oposição, deferimento, prazo de pagamento — e quando alguém depositar uma marca parecida.

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Andamento do processo no INPI

4 despacho(s) publicado(s) na Revista da Propriedade Industrial.

  1. 29/04/2025 Anotação de cancelamento parcial de especificação em designação <b>Protocolo:</b> 1687654001 (28/02/2023) <br /> <b>Petição (tipo):</b> Protocolo de Madri - RESTRICT<br /><b>Detalhes do despacho:</b>Anotado o cancelamento parcial relativo às especificações das classes NCL(11) 9 e NCL(11) 42 conforme comunicação da Secretaria Internacional da OMPI.<br /> código IPAS902 · RPI 2834
  2. 28/03/2023 Concessão de registro em designaç��o código IPAS770 · RPI 2725
  3. 06/09/2022 Deferimento de designação código IPAS768 · RPI 2696
  4. 21/09/2021 Publicação de pedido de registro para oposição (exame formal de designação concluído) <b>Detalhes do despacho: </b>Realizada alteração da apresentação da marca para figurativa com fundamento nos itens 2.3 e 5.9.6 do Manual de Marcas (?letras e algarismos isolados, com cunho distintivo, devem ser depositados como marcas figurativas?). / The type of trademark was changed to figurative according to the Trademark Manual, points 2.3 and 5.9.6 (?isolated letters and numbers, with distinctiveness, should be applied as figurative marks?). código IPAS756 · RPI 2646

Mesma marca em outras classes

Classificação figurativa (Viena)