OXFORD LOGISMOS FUND Trademark

Trademark Overview


On Monday, December 21, 2020, a trademark application was filed for OXFORD LOGISMOS FUND with the United States Patent and Trademark Office. The USPTO has given the OXFORD LOGISMOS FUND trademark a serial number of 79314194. The federal status of this trademark filing is REGISTERED as of Tuesday, May 24, 2022. This trademark is owned by The Oxford Asset Management Company Limited. The OXFORD LOGISMOS FUND trademark is filed in the Computer & Software Products & Electrical & Scientific Products, Insurance & Financial Services, and Computer & Software Services & Scientific Services categories with the following description:

Downloadable software and software platforms used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; Downloadable software and software platforms used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management

financial services, namely, operation and management of hedge funds, commodity pools and other collective investment vehicles, and trading for others of securities, options, futures, derivatives, debt instruments and commodities; financial affairs and monetary affairs, namely, financial information, management and analysis services; financial asset management; Investment services, namely, investment fund management applying proprietary algorithms, computational models, and related computational and analytical tools and software; investment services, namely, management of collective investment schemes, off-shore fund, domestic fund, hedge fund, long-only fund, arbitrage fund, convertible fund, market neutral fund; investment management; investment advice; fund management; portfolio management; stock investment management; securities management; financial services, namely, dealing in securities as a market maker and in trading dealings in investments, securities, warrants and options; fi...

Providing online non-downloadable software used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; Providing online non-downloadable software used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management; software as a service [SaaS] featuring software used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; software as a service [SaaS] featuring software used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management; platform as a service [PaaS] featuring software platforms used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; p...
oxford logismos fund

General Information


Serial Number79314194
Word MarkOXFORD LOGISMOS FUND
Filing DateMonday, December 21, 2020
Status700 - REGISTERED
Status DateTuesday, May 24, 2022
Registration Number6726889
Registration DateTuesday, May 24, 2022
Mark Drawing4000 - Illustration: Drawing with word(s) / letter(s) / number(s) in Block form
Published for Opposition DateTuesday, March 1, 2022

Trademark Statements


Goods and ServicesDownloadable software and software platforms used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; Downloadable software and software platforms used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management
Goods and Servicesfinancial services, namely, operation and management of hedge funds, commodity pools and other collective investment vehicles, and trading for others of securities, options, futures, derivatives, debt instruments and commodities; financial affairs and monetary affairs, namely, financial information, management and analysis services; financial asset management; Investment services, namely, investment fund management applying proprietary algorithms, computational models, and related computational and analytical tools and software; investment services, namely, management of collective investment schemes, off-shore fund, domestic fund, hedge fund, long-only fund, arbitrage fund, convertible fund, market neutral fund; investment management; investment advice; fund management; portfolio management; stock investment management; securities management; financial services, namely, dealing in securities as a market maker and in trading dealings in investments, securities, warrants and options; financial management; financial risk management; financial and investment risk management, research, assessment and consultancy; brokerage services, namely, investment brokerage; asset and investment administration; financial appraisal, evaluation and analysis; provision of financial information; financial research; investment research; computerised financial and investment services, namely, computerised financial and investment management services applying proprietary algorithms, computational models, and related computational and analytical tools and software; computerised financial and investment advisory and information services; computerised financial and investment research and analysis; Financing services; Loan financing; banking services; financial clearing services; advisory, consultancy and information services relating to all of the foregoing
Section 2(f) Limitation Statementas to "OXFORD"
Disclaimer with Predetermined Text"FUND"
Goods and ServicesProviding online non-downloadable software used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; Providing online non-downloadable software used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management; software as a service [SaaS] featuring software used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; software as a service [SaaS] featuring software used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management; platform as a service [PaaS] featuring software platforms used for financial and investment management, consultancy, research, analysis, modelling and risk assessment in the field of finance, investments and fund management; platform as a service [PaaS] featuring software platforms used for facilitating financial and investment trades and transactions in the field of finance, investments and fund management

Classification Information


International Class009 - Scientific, nautical, surveying, photographic, cinematographic, optical, weighing, measuring, signalling, checking (supervision), life-saving and teaching apparatus and instruments; apparatus and instruments for conducting, switching, transforming, accumulating, regulating or controlling electricity; apparatus for recording, transmission or reproduction of sound or images; magnetic data carriers, recording discs; automatic vending machines and mechanisms for coin operated apparatus; cash registers, calculating machines, data processing equipment and computers; fire extinguishing apparatus.
US Class Codes021, 023, 026, 036, 038
Class Status Code6 - Active
Class Status DateMonday, June 28, 2021
Primary Code009
First Use Anywhere DateNOT AVAILABLE
First Use In Commerce DateNOT AVAILABLE

International Class036 - Insurance; financial affairs; monetary affairs; real estate affairs.
US Class Codes100, 101, 102
Class Status Code6 - Active
Class Status DateMonday, June 28, 2021
Primary Code036
First Use Anywhere DateNOT AVAILABLE
First Use In Commerce DateNOT AVAILABLE

International Class042 - Scientific and technological services and research and design relating thereto; industrial analysis and research services; design and development of computer hardware and software.
US Class Codes100, 101
Class Status Code6 - Active
Class Status DateMonday, June 28, 2021
Primary Code042
First Use Anywhere DateNOT AVAILABLE
First Use In Commerce DateNOT AVAILABLE

Trademark Owner History


Party NameThe Oxford Asset Management Company Limited
Party Type30 - Original Registrant
Legal Entity Type99 - Other
AddressGB

Party NameThe Oxford Asset Management Company Limited
Party Type20 - Owner at Publication
Legal Entity Type99 - Other
AddressGB

Party NameThe Oxford Asset Management Company Limited
Party Type10 - Original Applicant
Legal Entity Type99 - Other
AddressGB

Trademark Events


Event DateEvent Description
Tuesday, August 8, 2023TEAS WITHDRAWAL OF ATTORNEY RECEIVED-FIRM RETAINS
Tuesday, August 8, 2023TEAS CHANGE OF CORRESPONDENCE RECEIVED
Tuesday, August 8, 2023ATTORNEY/DOM.REP.REVOKED AND/OR APPOINTED
Tuesday, August 8, 2023TEAS REVOKE/APP/CHANGE ADDR OF ATTY/DOM REP RECEIVED
Tuesday, August 8, 2023APPLICANT/CORRESPONDENCE CHANGES (NON-RESPONSIVE) ENTERED
Tuesday, August 8, 2023TEAS CHANGE OF OWNER ADDRESS RECEIVED
Monday, October 17, 2022FINAL DECISION TRANSACTION PROCESSED BY IB
Wednesday, September 7, 2022GENERIC MADRID TRANSACTION SENT TO IB
Wednesday, September 7, 2022GENERIC MADRID TRANSACTION CREATED
Wednesday, August 24, 2022FINAL DISPOSITION NOTICE CREATED, TO BE SENT TO IB
Tuesday, May 24, 2022NOTICE OF REGISTRATION CONFIRMATION EMAILED
Tuesday, May 24, 2022REGISTERED-PRINCIPAL REGISTER
Tuesday, March 1, 2022OFFICIAL GAZETTE PUBLICATION CONFIRMATION E-MAILED
Tuesday, March 1, 2022PUBLISHED FOR OPPOSITION
Monday, February 28, 2022NOTIFICATION PROCESSED BY IB
Wednesday, February 9, 2022NOTIFICATION OF POSSIBLE OPPOSITION SENT TO IB
Wednesday, February 9, 2022NOTICE OF START OF OPPOSITION PERIOD CREATED, TO BE SENT TO IB
Wednesday, February 9, 2022NOTIFICATION OF NOTICE OF PUBLICATION E-MAILED
Monday, January 24, 2022APPROVED FOR PUB - PRINCIPAL REGISTER
Friday, January 21, 2022TEAS/EMAIL CORRESPONDENCE ENTERED
Friday, January 21, 2022CORRESPONDENCE RECEIVED IN LAW OFFICE
Friday, January 21, 2022TEAS RESPONSE TO OFFICE ACTION RECEIVED
Sunday, August 8, 2021REFUSAL PROCESSED BY IB
Wednesday, July 21, 2021NON-FINAL ACTION MAILED - REFUSAL SENT TO IB
Wednesday, July 21, 2021REFUSAL PROCESSED BY MPU
Thursday, July 8, 2021NON-FINAL ACTION (IB REFUSAL) PREPARED FOR REVIEW
Wednesday, July 7, 2021NON-FINAL ACTION WRITTEN
Friday, July 2, 2021APPLICATION FILING RECEIPT MAILED
Monday, June 28, 2021ASSIGNED TO EXAMINER
Monday, June 28, 2021NEW APPLICATION OFFICE SUPPLIED DATA ENTERED
Friday, June 25, 2021SN ASSIGNED FOR SECT 66A APPL FROM IB