CAYMAN ISLANDS STOCK EXCHANGE
DEAD

Serial Number

75536712

Owner

Cayman Islands Stock Exchange

Attorney

Steven T. Shelton

Filing Date

Aug 14, 1998

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CAYMAN ISLANDS STOCK EXCHANGE Trademark

Serial Number: 75536712 • Registration: 2637515

CAYMAN ISLANDS STOCK EXCHANGE is a trademark filed by Cayman Islands Stock Exchange on August 14, 1998. The trademark is classified under Class 9 (Computers & Electronics), Class 36 (Insurance & Financial), Class 41 (Education & Entertainment). The application is currently no longer active.

Owner Contact Info

Cayman Islands Stock Exchange (7 trademarks)

George Town KY1-1105 , KY

Entity Type: 03

Trademark Details

Filing Date

August 14, 1998

Registration Date

October 15, 2002

Cancellation Date

May 17, 2013

Goods & Services

Educational services, namely, computer education training services, conducting classes, lectures, seminars and providing on-line instruction in the fields of finance, investing and certification for trading on stock exchanges

Computer software for managing and monitoring financial, business and investment information, and for facilitating, tracking and securing financial transactions; audio, video and multimedia recordings, namely, CD-ROMs and optically or magnetically encoded sound/video/text recordings, all containing information in the fields of finance, investment and business; providing downloadable electronic publications in the nature of magazines, journals and newsletters in the fields of finance and investing

Financial information services, namely, quotation of stock exchange prices; financial information provided by electronic means; financial information services in the nature of investment forecasting, financial forecasting, economic forecasting, economic analysis, exchange rate or stock exchange information; exchange services for others relating to trading or mortgaging of shares, securities, commodities, future or options; organization and operation of trading markets for financial services or financial instruments, namely, conducting a securities or financial instruments exchange and related stock market services; providing a broad range of financial or investing information by means of electronic communications networks; financial and monetary affairs services, namely, financial guarantee and surety, financial management and planning, financial portfolio management; mutual fund investment services

Filing History

CANCELLED SEC. 8 (10-YR)/EXPIRED SECTION 9
May 17, 2013 CAEX
REGISTERED - SEC. 8 (6-YR) ACCEPTED
Oct 31, 2008 8.OK
ASSIGNED TO PARALEGAL
Oct 20, 2008 PLGL
TEAS SECTION 8 RECEIVED
Oct 17, 2008 ES8R
CASE FILE IN TICRS
Feb 8, 2008 CFIT
CORRECTION UNDER SECTION 7 - PROCESSED
Sep 5, 2003 COC.
SEC 7 REQUEST FILED
Jan 13, 2003 AMD7
PAPER RECEIVED
Jan 13, 2003 MAIL
REGISTERED-SUPPLEMENTAL REGISTER
Oct 15, 2002 R.SR
APPROVED FOR REGISTRATION SUPPLEMENTAL REGISTER
May 23, 2002 CNTA
USE AMENDMENT ACCEPTED
May 23, 2002 IUAA
EXAMINERS AMENDMENT MAILED
May 16, 2002 CNEA
ASSIGNED TO EXAMINER
May 15, 2002 DOCK
AMENDMENT TO USE PROCESSING COMPLETE
Mar 12, 2002 AUPC
SEC. 44(D) CLAIM DELETED
Feb 12, 2002 44DD
CORRESPONDENCE RECEIVED IN LAW OFFICE
Feb 12, 2002 CRFA
CORRESPONDENCE RECEIVED IN LAW OFFICE
Feb 6, 2002 CRFA
USE AMENDMENT FILED
Feb 6, 2002 IUAF
INQUIRY AS TO SUSPENSION MAILED
Aug 6, 2001 CNSI
LETTER OF SUSPENSION MAILED
Mar 2, 2001 CNSL
ASSIGNED TO EXAMINER
Dec 12, 2000 DOCK
CORRESPONDENCE RECEIVED IN LAW OFFICE
Aug 7, 2000 CRFA
NON-FINAL ACTION MAILED
Feb 4, 2000 CNRT
CORRESPONDENCE RECEIVED IN LAW OFFICE
Sep 7, 1999 CRFA
NON-FINAL ACTION MAILED
Mar 2, 1999 CNRT