PYXIS DISTRIBUTORS Trademark

Trademark Overview


On Tuesday, November 29, 2011, a trademark application was filed for PYXIS DISTRIBUTORS with the United States Patent and Trademark Office. The USPTO has given the PYXIS DISTRIBUTORS trademark a serial number of 85483023. The federal status of this trademark filing is ABANDONED - FAILURE TO RESPOND OR LATE RESPONSE as of Tuesday, May 7, 2013. This trademark is owned by Highland Funds Asset Management, LP. The PYXIS DISTRIBUTORS trademark is filed in the Insurance & Financial Services category with the following description:

Investment advisory, investment sub-advisory services and investment and fund management for registered investment vehicles, namely mutual funds, Exchange Traded Funds, Closed End Funds, Collective Investment Trusts, unit investment trusts, Exchange Traded Notes, C-Corp investment Vehicles, Business Development Companies, investment related vehicles that file under the 1933 Act; Investment advisory, investment sub-advisory services and investment and fund management for separately managed accounts, ERISA qualified vehicles, investment funds registered in Canada or regulated by the Canadian Securities Administrators (CSA) and Undertakings for the Collective Investment of Transferable Securities (UCITs Funds); none of the foregoing includes non-registered hedge funds and venture capital investing
pyxis distributors

General Information


Serial Number85483023
Word MarkPYXIS DISTRIBUTORS
Filing DateTuesday, November 29, 2011
Status602 - ABANDONED - FAILURE TO RESPOND OR LATE RESPONSE
Status DateTuesday, May 7, 2013
Registration Number0000000
Registration DateNOT AVAILABLE
Mark Drawing4000 - Illustration: Drawing with word(s) / letter(s) / number(s) in Block form
Published for Opposition DateNOT AVAILABLE

Trademark Statements


Disclaimer with Predetermined Text"DISTRIBUTORS"
Goods and ServicesInvestment advisory, investment sub-advisory services and investment and fund management for registered investment vehicles, namely mutual funds, Exchange Traded Funds, Closed End Funds, Collective Investment Trusts, unit investment trusts, Exchange Traded Notes, C-Corp investment Vehicles, Business Development Companies, investment related vehicles that file under the 1933 Act; Investment advisory, investment sub-advisory services and investment and fund management for separately managed accounts, ERISA qualified vehicles, investment funds registered in Canada or regulated by the Canadian Securities Administrators (CSA) and Undertakings for the Collective Investment of Transferable Securities (UCITs Funds); none of the foregoing includes non-registered hedge funds and venture capital investing

Classification Information


International Class036 - Insurance; financial affairs; monetary affairs; real estate affairs.
US Class Codes100, 101, 102
Class Status Code6 - Active
Class Status DateMonday, December 5, 2011
Primary Code036
First Use Anywhere DateNOT AVAILABLE
First Use In Commerce DateNOT AVAILABLE

Trademark Owner History


Party NamePYXIS CAPITAL, LP
Party Type11 - New Owner Before Publication
Legal Entity Type13 - Limited Partnership
AddressDALLAS, TX 75240

Party NameHighland Funds Asset Management, LP
Party Type10 - Original Applicant
Legal Entity Type13 - Limited Partnership
AddressDallas, TX 75240

Trademark Events


Event DateEvent Description
Tuesday, May 7, 2013ABANDONMENT NOTICE MAILED - FAILURE TO RESPOND
Tuesday, May 7, 2013ABANDONMENT - FAILURE TO RESPOND OR LATE RESPONSE
Tuesday, October 9, 2012NOTIFICATION OF NON-FINAL ACTION E-MAILED
Tuesday, October 9, 2012NON-FINAL ACTION E-MAILED
Tuesday, October 9, 2012NON-FINAL ACTION WRITTEN
Friday, September 21, 2012TEAS/EMAIL CORRESPONDENCE ENTERED
Thursday, September 20, 2012CORRESPONDENCE RECEIVED IN LAW OFFICE
Thursday, September 20, 2012TEAS RESPONSE TO OFFICE ACTION RECEIVED
Wednesday, June 6, 2012AUTOMATIC UPDATE OF ASSIGNMENT OF OWNERSHIP
Wednesday, March 21, 2012NOTIFICATION OF NON-FINAL ACTION E-MAILED
Wednesday, March 21, 2012NON-FINAL ACTION E-MAILED
Wednesday, March 21, 2012NON-FINAL ACTION WRITTEN
Tuesday, March 13, 2012NOTIFICATION OF NON-FINAL ACTION E-MAILED
Tuesday, March 13, 2012NON-FINAL ACTION E-MAILED
Tuesday, March 13, 2012NON-FINAL ACTION WRITTEN
Thursday, March 8, 2012ASSIGNED TO EXAMINER
Monday, December 5, 2011NEW APPLICATION OFFICE SUPPLIED DATA ENTERED IN TRAM
Friday, December 2, 2011NEW APPLICATION ENTERED IN TRAM