AMOVA ASSET MANAGEMENT Trademark
Trademark Overview
On Monday, November 4, 2024, a trademark application was filed for AMOVA ASSET MANAGEMENT with the United States Patent and Trademark Office. The USPTO has given the AMOVA ASSET MANAGEMENT trademark a serial number of 98835230. The federal status of this trademark filing is REGISTERED as of Tuesday, May 26, 2026. This trademark is owned by Nikko Asset Management Co., Ltd.. The AMOVA ASSET MANAGEMENT trademark is filed in the Insurance & Financial Services category with the following description:
Banking services featuring the provision of certificates of deposit, namely, acceptance of deposits, namely, substitute bond issuance and acceptance of fixed interval installment deposits; loans financing and discount of bills; domestic exchange settlement, namely, debit settlement services, credit to current accounts services and money collection services; liability guarantee in the nature of underwriting commercial collateral liability insurance and acceptance of bills in the nature of bill payment services and bill consolidation services; offering of securities subscriptions in the nature of hedge funds management; private equity funds management, securities and derivatives for others, namely, conducting a securities and derivatives exchange; private placement in the nature of hedge funds management, private equity funds management, securities and derivatives for others, namely, conducting a securities and derivatives exchange; securities offering in the nature of private equity fun...
General Information
| Serial Number | 98835230 |
| Word Mark | AMOVA ASSET MANAGEMENT |
| Filing Date | Monday, November 4, 2024 |
| Status | 700 - REGISTERED |
| Status Date | Tuesday, May 26, 2026 |
| Registration Number | 8276809 |
| Registration Date | Tuesday, May 26, 2026 |
| Mark Drawing | 3 - Illustration: Drawing or design which also includes word(s) / letter(s) / number(s) |
| Published for Opposition Date | Tuesday, August 26, 2025 |
Trademark Statements
| Description of Mark | The mark consists of the stylized word "AMOVA" stacked above the stylized words "ASSET MANAGEMENT" all displayed in stylized purple font with a design of two curved lines in fuchsia pink. |
| Goods and Services | Banking services featuring the provision of certificates of deposit, namely, acceptance of deposits, namely, substitute bond issuance and acceptance of fixed interval installment deposits; loans financing and discount of bills; domestic exchange settlement, namely, debit settlement services, credit to current accounts services and money collection services; liability guarantee in the nature of underwriting commercial collateral liability insurance and acceptance of bills in the nature of bill payment services and bill consolidation services; offering of securities subscriptions in the nature of hedge funds management; private equity funds management, securities and derivatives for others, namely, conducting a securities and derivatives exchange; private placement in the nature of hedge funds management, private equity funds management, securities and derivatives for others, namely, conducting a securities and derivatives exchange; securities offering in the nature of private equity fund investment services featuring securities offered according to previously established criteria in order to maintain a predetermined level of payments to the account holder; financial services, namely, assisting others in the completion of financial transaction of securities or offering and transaction of private placement in the nature of hedge funds, private equity funds management, securities and derivatives for others, namely, conducting a securities and derivatives exchange; securities brokerage, namely, buying and selling of securities, namely, business brokerage services and related consulting pertaining to procurement, buying, selling and tendering information and opportunities; securities underwriting; financial services, namely, issuing of securities beneficiary certificates, namely, securities underwriting; providing financial information in the nature of instruction on trust assets investment; advisory services relating to investment analysis decisions based on securities values or securities value analysis; advisory services relating to investment or investment decisions based on discretionary investment contracts concerning securities; life insurance brokerage; providing information relating to life insurance; consultancy and advisory services for life insurance; agencies for non-life insurance, namely, agencies for commodity futures trading |
| NOT AVAILABLE | "ASSET MANAGEMENT" |
| Indication of Colors claimed | The color(s) fuchsia pink and purple is/are claimed as a feature of the mark. |
Classification Information
| International Class | 036 - Insurance; financial affairs; monetary affairs; real estate affairs. |
| US Class Codes | 100, 101, 102 |
| Class Status Code | 6 - Active |
| Class Status Date | Monday, November 4, 2024 |
| Primary Code | 036 |
| First Use Anywhere Date | Monday, September 1, 2025 |
| First Use In Commerce Date | Monday, September 1, 2025 |
Trademark Owner History
| Party Name | AMOVA ASSET MANAGEMENT CO., LTD. |
| Party Type | 30 - Original Registrant |
| Legal Entity Type | 99 - Other |
| Address | Tokyo 107-6242 JP |
| Party Name | AMOVA ASSET MANAGEMENT CO., LTD. |
| Party Type | 21 - New Owner After Publication |
| Legal Entity Type | 99 - Other |
| Address | Tokyo 107-6242 JP |
| Party Name | Nikko Asset Management Co., Ltd. |
| Party Type | 20 - Owner at Publication |
| Legal Entity Type | 99 - Other |
| Address | Tokyo 107-6242 JP |
| Party Name | Nikko Asset Management Co., Ltd. |
| Party Type | 10 - Original Applicant |
| Legal Entity Type | 99 - Other |
| Address | Tokyo 107-6242 JP |
Trademark Events
| Event Date | Event Description |
| Monday, November 4, 2024 | NEW APPLICATION ENTERED |
| Thursday, May 1, 2025 | NEW APPLICATION OFFICE SUPPLIED DATA ENTERED |
| Thursday, May 1, 2025 | NOTICE OF DESIGN SEARCH CODE E-MAILED |
| Friday, May 2, 2025 | ASSIGNED TO EXAMINER |
| Wednesday, May 28, 2025 | NON-FINAL ACTION WRITTEN |
| Wednesday, May 28, 2025 | NON-FINAL ACTION E-MAILED |
| Wednesday, May 28, 2025 | NOTIFICATION OF NON-FINAL ACTION E-MAILED |
| Tuesday, June 24, 2025 | TEAS RESPONSE TO OFFICE ACTION RECEIVED |
| Tuesday, June 24, 2025 | CORRESPONDENCE RECEIVED IN LAW OFFICE |
| Tuesday, June 24, 2025 | TEAS/EMAIL CORRESPONDENCE ENTERED |
| Thursday, July 17, 2025 | APPROVED FOR PUB - PRINCIPAL REGISTER |
| Wednesday, August 20, 2025 | NOTIFICATION OF NOTICE OF PUBLICATION E-MAILED |
| Tuesday, August 26, 2025 | PUBLISHED FOR OPPOSITION |
| Tuesday, August 26, 2025 | OFFICIAL GAZETTE PUBLICATION CONFIRMATION E-MAILED |
| Tuesday, October 21, 2025 | NOA E-MAILED - SOU REQUIRED FROM APPLICANT |
| Wednesday, November 26, 2025 | TEAS STATEMENT OF USE RECEIVED |
| Wednesday, February 11, 2026 | AUTOMATIC UPDATE OF ASSIGNMENT OF OWNERSHIP |
| Wednesday, April 22, 2026 | CASE ASSIGNED TO INTENT TO USE PARALEGAL |
| Wednesday, November 26, 2025 | USE AMENDMENT FILED |
| Monday, April 27, 2026 | STATEMENT OF USE PROCESSING COMPLETE |
| Wednesday, May 6, 2026 | ALLOWED PRINCIPAL REGISTER - SOU ACCEPTED |
| Wednesday, May 6, 2026 | NOTICE OF ACCEPTANCE OF STATEMENT OF USE E-MAILED |
| Tuesday, May 26, 2026 | REGISTERED-PRINCIPAL REGISTER |
| Tuesday, May 26, 2026 | NOTICE OF REGISTRATION CONFIRMATION EMAILED |
| Tuesday, May 26, 2026 | NOTICE OF REGISTRATION CONFIRMATION EMAILED |
| Tuesday, May 26, 2026 | NOTICE OF REGISTRATION CONFIRMATION EMAILED |