Legal Representation
Attorney
Richard L. Sampson
USPTO Deadlines
Next Deadline
In Grace Period
Section 8 (6-Year) Declaration Due (Based on registration date 2019-03-26)
Due Date
March 26, 2025
Grace Period Ends
September 26, 2025
Additional deadlines exist. Contact your attorney for complete deadline information.
Application History
18 eventsDate | Code | Type | Description | Documents |
---|---|---|---|---|
Mar 26, 2024 | REM1 | E | COURTESY REMINDER - SEC. 8 (6-YR) E-MAILED | Loading... |
Mar 26, 2019 | R.PR | A | REGISTERED-PRINCIPAL REGISTER | Loading... |
Feb 17, 2019 | ETOP | T | EXTENSION OF TIME TO OPPOSE PROCESS - TERMINATED | Loading... |
Nov 9, 2018 | DOCK | D | ASSIGNED TO EXAMINER | Loading... |
Nov 2, 2018 | ETOF | T | EXTENSION OF TIME TO OPPOSE RECEIVED | Loading... |
Oct 9, 2018 | PUBO | A | PUBLISHED FOR OPPOSITION | Loading... |
Oct 9, 2018 | NPUB | E | OFFICIAL GAZETTE PUBLICATION CONFIRMATION E-MAILED | Loading... |
Sep 19, 2018 | NONP | E | NOTIFICATION OF NOTICE OF PUBLICATION E-MAILED | Loading... |
Aug 27, 2018 | CNSA | O | APPROVED FOR PUB - PRINCIPAL REGISTER | Loading... |
Aug 23, 2018 | TEME | I | TEAS/EMAIL CORRESPONDENCE ENTERED | Loading... |
Aug 22, 2018 | TROA | I | TEAS RESPONSE TO OFFICE ACTION RECEIVED | Loading... |
Aug 22, 2018 | CRFA | I | CORRESPONDENCE RECEIVED IN LAW OFFICE | Loading... |
May 3, 2018 | DOCK | D | ASSIGNED TO EXAMINER | Loading... |
May 3, 2018 | CNRT | R | NON-FINAL ACTION WRITTEN | Loading... |
May 3, 2018 | GNRT | F | NON-FINAL ACTION E-MAILED | Loading... |
May 3, 2018 | GNRN | O | NOTIFICATION OF NON-FINAL ACTION E-MAILED | Loading... |
Feb 1, 2018 | NWOS | I | NEW APPLICATION OFFICE SUPPLIED DATA ENTERED | Loading... |
Jan 25, 2018 | NWAP | I | NEW APPLICATION ENTERED | Loading... |
Detailed Classifications
Class 036
Fund investment and advisory services marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans; Investment counseling services marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans; Management of portfolios comprising securities marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans; Mutual fund investment, administration, distribution, brokerage, and investment advisory services, marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans; Financial services, namely, administration of transactions by funds involving securities, stocks, funds, equities, bonds, notes, cash, or other types of financial investments, marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans; Investment management services with respect to mutual funds, pension accounts, institutional accounts, and separate accounts, marketed and sold to institutional investors or through financial intermediaries, namely, investment advisors and broker-dealers, and which do not seek to maintain compliance with the statutory/tax requirements of retirement plans
First Use Anywhere:
Nov 1, 2017
First Use in Commerce:
Nov 1, 2017
Additional Information
Pseudo Mark
SYSTEMATIC ALTERNATIVE RISK PREMIA
Classification
International Classes
036