X·BRIDGE

Serial Number 98552256
688

Registration Progress

Application Filed
May 15, 2024
Under Examination
Feb 25, 2025
Approved for Publication
Dec 31, 2024
Published for Opposition
Dec 31, 2024
Registered

Attorney Assistance

NOA E-Mailed - SOU Required
Due: Aug 25, 2025 22 days

Trademark Image

X·BRIDGE

Basic Information

Serial Number
98552256
Filing Date
May 15, 2024
Published for Opposition
December 31, 2024
Drawing Code
4

Status Summary

Current Status
Active
Status Code
688
Status Date
Feb 25, 2025
Application
Pending
Classes
042

Rights Holder

FX HedgePool, Inc.

03
Address
One World Trade Center, 85th Floor
New York, NY 10007

Ownership History

FX HedgePool, Inc.

Original Applicant
03
New York, NY

FX HedgePool, Inc.

Owner at Publication
03
New York, NY

Legal Representation

Attorney
Joshua S. Jarvis

USPTO Deadlines

Next Deadline
22 days remaining
NOA E-Mailed - SOU Required
Due Date
August 25, 2025
Extension Available
Until February 25, 2026

Application History

8 events
Date Code Type Description Documents
Feb 25, 2025 NOAM E NOA E-MAILED - SOU REQUIRED FROM APPLICANT Loading...
Dec 31, 2024 NPUB E OFFICIAL GAZETTE PUBLICATION CONFIRMATION E-MAILED Loading...
Dec 31, 2024 PUBO A PUBLISHED FOR OPPOSITION Loading...
Dec 25, 2024 NONP E NOTIFICATION OF NOTICE OF PUBLICATION E-MAILED Loading...
Dec 4, 2024 CNSA P APPROVED FOR PUB - PRINCIPAL REGISTER Loading...
Nov 30, 2024 DOCK D ASSIGNED TO EXAMINER Loading...
Nov 17, 2024 NWOS I NEW APPLICATION OFFICE SUPPLIED DATA ENTERED Loading...
May 15, 2024 NWAP I NEW APPLICATION ENTERED Loading...

Detailed Classifications

Class 042
Providing temporary use of non-downloadable software for providing technical connectivity between foreign exchange market participants, and for allocating foreign exchange transactions across buy-side legal entities and banks according to credit parameters and trade details; software as a service (SAAS) services featuring software for providing technical connectivity between foreign exchange market participants, and for allocating foreign exchange transactions across buy-side legal entities and banks according to credit parameters and trade details

Classification

International Classes
042