GRACECHURCH UTG NO. 21 LIMITED
Panoramica
Nome della società | GRACECHURCH UTG NO. 21 LIMITED |
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Stato della società | Sciolta |
Forma giuridica | Società a responsabilità limitata |
Numero di società | 03615270 |
Giurisdizione | Inghilterra/Galles |
Data di costituzione | |
Data di cessazione |
Riepilogo
Ha PSCs super sicuri | No |
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Ha ipoteche | Sì |
Ha una storia di insolvenza | No |
La sede legale è in contestazione | No |
Qual è lo scopo di GRACECHURCH UTG NO. 21 LIMITED?
- Assicurazioni diverse da quelle sulla vita (65120) / Attività finanziarie e assicurative
- Riassicurazione non vita (65202) / Attività finanziarie e assicurative
Dove si trova GRACECHURCH UTG NO. 21 LIMITED?
Indirizzo della sede legale | 5th Floor 40 Gracechurch Street EC3V 0BT London England |
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Indirizzo della sede legale non recapitabile | No |
Quali erano i nomi precedenti di GRACECHURCH UTG NO. 21 LIMITED?
Nome della società | Da | A |
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SM GOLDSTEIN UNDERWRITING LIMITED | 10 ago 1998 | 10 ago 1998 |
Quali sono gli ultimi bilanci di GRACECHURCH UTG NO. 21 LIMITED?
Ultimi bilanci | |
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Ultimi bilanci redatti al | 31 dic 2022 |
Quali sono le ultime deposizioni per GRACECHURCH UTG NO. 21 LIMITED?
Data | Descrizione | Documento | Tipo | |||||||||
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Gazzetta Ufficiale finale sciolta per scioglimento volontario | 1 pagine | GAZ2(A) | ||||||||||
Prima Gazzetta Ufficiale per lo scioglimento volontario | 1 pagine | GAZ1(A) | ||||||||||
Richiesta di cancellazione della società dal registro | 1 pagine | DS01 | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2023 senza aggiornamenti | 3 pagine | CS01 | ||||||||||
Cessazione della carica di Jeremy Richard Holt Evans come amministratore in data 31 lug 2023 | 1 pagine | TM01 | ||||||||||
Nomina di Mr Mark John Tottman come amministratore in data 31 lug 2023 | 2 pagine | AP01 | ||||||||||
Bilancio di esenzione totale redatto al 31 dic 2022 | 14 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2022 senza aggiornamenti | 3 pagine | CS01 | ||||||||||
Bilancio di esenzione totale redatto al 31 dic 2021 | 14 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2021 senza aggiornamenti | 3 pagine | CS01 | ||||||||||
Bilancio di esenzione totale redatto al 31 dic 2020 | 14 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2020 senza aggiornamenti | 3 pagine | CS01 | ||||||||||
Bilancio di esenzione totale redatto al 31 dic 2019 | 14 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2019 con aggiornamenti | 4 pagine | CS01 | ||||||||||
Bilancio di esenzione totale redatto al 31 dic 2018 | 14 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2018 con aggiornamenti | 4 pagine | CS01 | ||||||||||
Bilancio redatto al 31 dic 2017 | 16 pagine | AA | ||||||||||
Dettagli del direttore cambiati per Mr Jeremy Richard Holt Evans il 02 mag 2018 | 2 pagine | CH01 | ||||||||||
Dichiarazione di conformità presentata il 15 dic 2017 con aggiornamenti | 4 pagine | CS01 | ||||||||||
Bilancio redatto al 31 dic 2016 | 15 pagine | AA | ||||||||||
Dichiarazione di conformità presentata il 13 gen 2017 con aggiornamenti | 5 pagine | CS01 | ||||||||||
Bilancio redatto al 31 dic 2015 | 15 pagine | AA | ||||||||||
Bilancio annuale redatto al 19 giu 2016 con elenco completo degli azionisti | 6 pagine | AR01 | ||||||||||
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Dettagli del direttore cambiati per Nomina Plc il 04 dic 2015 | 1 pagine | CH02 | ||||||||||
Indirizzo della sede legale modificato da C/O Nomina Plc 85 Gracechurch Street London EC3V 0AA a 5th Floor 40 Gracechurch Street London EC3V 0BT in data 07 dic 2015 | 1 pagine | AD01 | ||||||||||
Chi sono gli amministratori di GRACECHURCH UTG NO. 21 LIMITED?
Nome | Nominato il | Dimissioni il | Ruolo | Indirizzo | Identificazione della società | Paese di residenza | Nazionalità | Data di nascita | Professione | Numero | ||||
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HAMPDEN LEGAL PLC | Segretario | Great Hampden HP16 9RD Great Missenden Hampden House Buckinghamshire England |
| 56301100002 | ||||||||||
TOTTMAN, Mark John | Amministratore | 40 Gracechurch Street EC3V 0BT London 5th Floor England | United Kingdom | British | Underwriting Agent | 72513380002 | ||||||||
NOMINA PLC | Amministratore | 40 Gracechurch Street EC3V 0BT London 5th Floor England |
| 81968410003 | ||||||||||
HERBERT, David Ian John | Segretario | 18 Leys Road CB4 2AT Cambridge Cambridgeshire | British | Lloyds Underwriting Agent | 2215730002 | |||||||||
AEQUANIMITER LIMITED | Segretario | Peninsular House 36 Monument Street EC3R 8LJ London | 98796350001 | |||||||||||
AMLIN MEMBERS SERVICES LIMITED | Segretario | 1 Whittington Avenue EC3V 1PH London | 65816780001 | |||||||||||
CBS PRIVATE CAPITAL LIMITED | Segretario | Peninsular House 36 Monument Street EC3R 8LJ London | 78750170004 | |||||||||||
EXCELLET INVESTMENTS LIMITED | Segretario | Senator House 85 Queen Victoria Street EC4V 4JL London | 1872620003 | |||||||||||
HALLMARK SECRETARIES LIMITED | Segretario nominato | 120 East Road N1 6AA London | 900004100001 | |||||||||||
EVANS, Jeremy Richard Holt | Amministratore | 40 Gracechurch Street EC3V 0BT London 5th Floor England | England | British | Director | 161542790001 | ||||||||
GOLDSTEIN, Stanley Maurice | Amministratore | 89 Helling Road Hyde Park 2196 Johannesburg Gauteng South Africa | South African | Engineer | 59893800001 | |||||||||
HERBERT, David Ian John | Amministratore | 18 Leys Road CB4 2AT Cambridge Cambridgeshire | British | Lloyds Underwriting Agent | 2215730002 | |||||||||
IRONSIDE, Charles Edmund Grenville, Yhe Hon | Amministratore | Flat 3 86 Alderney Street SW1V 4EY London | British | Lloyds Underwriting Agent | 59893980003 | |||||||||
HALLMARK REGISTRARS LIMITED | Amministratore delegato nominato | 120 East Road N1 6AA London | 900004090001 | |||||||||||
QUICKNESS LIMITED | Amministratore | Senator House 85 Queen Victoria Street EC4V 4JL London | 47109420002 |
Chi sono le persone con controllo significativo di GRACECHURCH UTG NO. 21 LIMITED?
Nome | Notificato il | Indirizzo | Cessato | ||||||||||
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Nomina Services Limited | 06 apr 2016 | 40 Gracechurch Street EC3V 0BT London 5th Floor England | No | ||||||||||
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GRACECHURCH UTG NO. 21 LIMITED ha ipoteche?
Classificazione | Date | Stato | Dettagli | |
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Lloyd's american trust deed (the " trust deed") | Creato il 24 mar 2009 Consegnato il 07 apr 2009 | In corso | Importo garantito All sums due or to become due under the terms of the aforementioned instrument creating or evidencing the charge | |
Brevi particolari All premiums and other moneys payable during the trust term to or for the account of the company in connection with the 1992 and prior american business and all other assets from time to time transferred to the american trustee to be held by it as part of the american trust fund, all investments and moneys and all income arising from (i)-(iii) see image for full details. | ||||
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Amendment and restatement lloyd's american instrument 1995 (general business for corporate members) ("the 1995 american instrument (corporate members") dated 31 july 1995 & amended on 28 december 2001, 1 april 2001, 1 august 2001, 13 february 2002, 27 september 2007 & | Creato il 24 mar 2009 Consegnato il 07 apr 2009 | In corso | Importo garantito All sums due or to become due under the terms of the aforementioned instrument creating or evidencing the charge | |
Brevi particolari All the present and future assets of the member comprised in the member's dollar trust fund constituted under and pursuant to the 1995 american instrument (corporate member) full particulars of which assets are set out in clause 3 of and schedule 2 to the 1995 american instrument (corporate members). See image for full details. | ||||
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Deed of charge | Creato il 14 mag 2002 Consegnato il 22 mag 2002 | In corso | Importo garantito All monies due or to become due from the company to the chargee under the terms of the aforementioned instrument creating or evidencing the charge | |
Brevi particolari By way of first charge, all rights, title and interest of the corportate underwriting member in and to a) the benefit of the relevant specified syndicate reinsurances not otherwise expressed to be charged by the deed of charge and b) the benefit of any letter of credit, guarantee, deposit or security issued. | ||||
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Charge in the terms of the lloyd's asia (singapore policies) instrument 2002(general business of all underwriting members) (the singapore policies instrument) | Creato il 13 feb 2002 Consegnato il 05 mar 2002 | In corso | Importo garantito All sums due or to become due under the terms of the aforementioned instrument creating or evidencing the charge | |
Brevi particolari All present and future assets of the member comprised in the members singapore policies trust fund constituted under and pursuant to the singapore policies instrument, all premiums, reinsurance recoveries, rights of salvage and subrogation and other monies whatsoever in connection with the members singapore policies business and all interest of the member therein. All singapore policies rights of recoveries, all further assets, all interest, dividends and other income and all assets now or for the time being representing the foregoing. | ||||
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Charge in the terms of the lloyd's asia (offshore policies) instrument 2002(general business of all underwriting members) (the offshore policies instrument) | Creato il 13 feb 2002 Consegnato il 05 mar 2002 | In corso | Importo garantito All sums due or to become due under the terms of the aforementioned instrument creating or evidencing the charge | |
Brevi particolari All present and future assets of the member comprised in the members offshore policies trust fund constituted under and pursuant to the offshore policies instrument, all premiums, reinsurance recoveries, rights of salvage and subrogation and other monies whatsoever in connection with the members offshore policies business and all interest of the member therein. All offshore policies rights of recoveries, all further assets, all interest, dividends and other income and all assets now or for the time being representing the foregoing. | ||||
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A charge dated 25 may 2001 in the terms of the lloyd's canadian margin fund trust deed ("the trust deed") | Creato il 25 mag 2001 Consegnato il 13 giu 2001 | In corso | Importo garantito The payment of all claims of a holder of, or third party claimant under, any "policy in canada" to which the trust deed applies and which has been underwritten by the company or any other member or former member of lloyd's and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari All interest of the company in present and future assets comprised in the margin fund constituted under the trust deed including the following (a) the contributions paid to the margin fund by or on behalf of the company pursuant to the lloyd's canadian business requirements of the council of lloyd'S.. See the mortgage charge document for full details. | ||||
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Charge (in the terms of the lloyd's canadian trust deed "the trust deed" dated 26 september 1995. the instrument amends and restates the instrument dated 9 november 1977, as further amended by deeds dated 8 march 1978, 11 june 1989 and 28 december 2000) | Creato il 25 mag 2001 Consegnato il 13 giu 2001 | In corso | Importo garantito All losses, claims, expenses, returns of premiums, re-insurance premiums and other outgoings payable at the date of the trust deed or at any time thereafter to become payable in connection with the canadian business of the company, including (1) the payment of any amount into an escrow fund or account to be held in respect of a particular claim of a policyholder or any other person and (2) all expenses whatsoever from time to time incurred by the company in connection with or arising out of the canadian business of the company including any salary, commission, other remuneration and reimbursement of outlays payable by the company to the agent or to any other person in connection with the conduct or winding up of the canadian business, the repayment of any outstanding indebtedness incurred by the company to meet valid expenses of the canadian business of such company, the company's due proportion of remuneration and reimbursement of expenses of the canadian trustee, the company's due proportion of any shortfall in the lloyd's canadian business fund (including any costs or expenses in respect thereto) and including also any taxes incurred in or by reason of the canadian business | |
Brevi particolari All property which may be (or should be) assigned or transferred to or received by the canadian trustee under the trust deed and any accumulations and increments from any such property. All premiums monies and other assets whatsoever belonging or payable at the date of the trust deed or thereafter at any time belonging or becoming payable to the company in connection with the canadian business and received on behalf of the company by the agent or any other person. See the mortgage charge document for full details. | ||||
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Charge in the terms of the lloyd's illinois licensed and 1104 multiple trust deed (the "trust deed"), itself constituted by an instrument of the same date and | Creato il 30 mar 2001 Consegnato il 19 apr 2001 | In corso | Importo garantito (A) to the extent to which the trust is established by the corporate member as a licensed grantor, any sum of money which is or becomes payable to a policyholder to pay a claim arising under an illinois policy issued by the corporate member as a licensed grantor or for which the corporate member as a licensed grantor is liable under any contract of reinsurance to close, and (b) to the extent to which the trust is established by the corporate member as a reinsuring grantor, but only in the event of the insolvency of the corporate member, any sum of money which is or becomes payable in order to pay or reimburse one or more licensed grantors for the amounts for which the corporate member as a reinsuring grantor is liable under the reinsurance agreement in respect of any losses and allocated loss adjustment expenses paid by such licensed grantor but not recovered from the corporate member as a reinsuring grantor, or in respect of unearned premiums due to such licensed grantor but not otherwise paid by the corporate member as a reinsuring grantor (terms used are to be interpreted as provided in the trust deed) and for securing the other amounts and obligations referred to in the trust deed. | |
Brevi particolari All present and future assets comprised in the corporate members trust fund constituted under and pursuant to the trust deed including all monies (including future accretions to the trust fund) investments, income, gains and other assets representing or accruing to that trust fund. | ||||
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Charge (in the terms of the lloyd's american instrument 1995 (general business of corporate members) ("the american instrument") itself constituted by an instrument dated 31 july 1995 as amended on 21 december 1995, 25 april 1996, 3 september 1996 , 7 january 1998 and as further amended on 28 december 2000 ) | Creato il 28 dic 2000 Consegnato il 17 gen 2001 | In corso | Importo garantito The payment or discharge of the company's obligations (and subject as mentioned in the american instrument those of any syndicate or group of which the company is or has been or is about to become a member) to keep fully funded or provide any and every continental business regulatory deposit and offshore dollar business regulatory deposit and all losses, claims, returns of premiums, reinsurance premiums, expenses and other outgoings payable as at the date of or at any time after the date of the american instrument to become payable in connection with any new american business, being the underwriting business of the company at lloyd's other than long term business (as defined in the insurance companies act 1982), where (I) the liability of the company is expressed in U.S.dollars and (ii) the premium payable to or for the account of the company has been paid or is payable in U.S.dollars, that relates to any contract or policy of insurance or reinsurance underwritten or incepting on or after 1ST august 1995 other than (and except only for) (1) contracts or policies underwritten under a binding authority incepting prior to that date (2) contracts or policies of insurance written pursuant to lloyd's licence in kentucky prior to 1ST january 1996 and (3) any contract of reinsurance to close for any year of account underwritten by the company to the extent only that (I) the premium payable to or for the account of the company has been paid or is payable in U.S.dollars or the liability of the company in respect of such contract is expressed in U.S.dollars; and (ii) the company is liable under such contract in respect of contracts or policies of insurance or reinsurance underwritten by underwriting members of lloyd's which either (1) incepted prior to 1ST august 1995 (2) were underwritten under a binding authority incepting prior to that date or (3) were underwritten pursuant to lloyd's licence in kentucky prior to 1ST january 1996 and for securing certain other expenses, charges and remuneration, and payments to the trust fund subject to the company's lloyd's premiums trust deed, the trustee of the existing lloyd's american trust deed and the trustees of any fund constituted or regulated by an overseas direction of the council of lloyd's, and for securing the other amounts and obligations referred to in the american instrument | |
Brevi particolari All premiums and other monies (being premiums and other monies which but for the 1995 american instrument (corporate members) would otherwise be or become comprised in the ptd trust fund) (as defined); all further assets at any time added to the dollar trust fund whether by or on behalf of the corporate member or in exercise of a power in that behalf conferred by the corporate member's ptd or by any other overseas direction or by any continental business regulatory deposit or offshore dollar business regulatory deposit or by any other instrument or otherwise however; all investments and other assets at any time representing any such premiums and other monies and assets; all income from time to time arising from any such premiums monies investments and other assets together with all the other particulars as fully detailed in the form M395. | ||||
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Charge (in the terms of the lloyd's canadian trust deed "the trust deed" dated 26 september 1995. the instrument amends and restates the instrument dated 9 november 1977, as further amended by deeds dated 8 march 1978 and 11 june 1989) | Creato il 28 dic 2000 Consegnato il 17 gen 2001 | In corso | Importo garantito All losses, claims, expenses, returns of premiums, re-insurance premiums and other outgoings payable at the date of the trust deed or at any time thereafter to become payable in connection with the canadian business of the company, including (1) the payment of any amount into an escrow fund or account to be held in respect of a particular claim of a policyholder or any other person and (2) all expenses whatsoever from time to time incurred by the company in connection with or arising out of the canadian business of the company including any salary, commission, other remuneration and reimbursement of outlays payable by the company to the agent or to any other person in connection with the conduct or winding up of the canadian business, the repayment of any outstanding indebtedness incurred by the company to meet valid expenses of the canadian business of such company, the company's due proportion of remuneration and reimbursement of expenses of the canadian trustee, the company's due proportion of any shortfall in the lloyd's canadian business fund (including any costs or expenses in respect thereto) and including also any taxes incurred in or by reason of the canadian business | |
Brevi particolari All property which may be (or should be) assigned or transferred to or received by the canadian trustee under the trust deed and any accumulations and increments from any such property. All premiums monies and other assets whatsoever belonging or payable at the date of the trust deed or thereafter at any time belonging or becoming payable to the company in connection with the canadian business and received on behalf of the company by the agent or any other person. See the mortgage charge document for full details. | ||||
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Deed of adherence for an individual name's lloyd's deposit trust deed made between stanley maurice goldstein (the "name"), the company and the society incorporated by lloyd's act 1871 by the name of lloyd's (the "society") | Creato il 21 nov 2000 Consegnato il 28 nov 2000 | In corso | Importo garantito The obligations of the company to pay the trustees (if so required by the society) sums equal in the aggregate to any sums comprised in a specified fund which are paid to the company's premiums trustees or otherwise applied under clause 7.2 of the trust deed: 1) in discharging or making good any lloyd's obligations of the company, or 2) because insufficient assets are available in the company's premiums trust fund, or 3) because the company has sustained an ascertained loss on a closed underwriting account, or 4) because a person has applied monies not belonging to the company in or towards the discharge of any claim upon any contract of insurance underwritten at lloyd's by or on account of the company | |
Brevi particolari The future profits of the underwriting business of the company at lloyd's, subject to any prior charge contained in the company's premium trust deed or any other trust deed or other instrument of the company at lloyd's. | ||||
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Charge dated 6 june 2000 in the terms of the lloyd's australian joint asset trust deed (no.2) ("the trust deed") | Creato il 06 giu 2000 Consegnato il 22 giu 2000 | In corso | Importo garantito The payment of all claims of or submitted by a holder of any australian policy to which the trust deed applies (an "australian policy") or any transitional policy and which has been underwritten by the corporate member or in respect of which the corporate member is liable as a member of a syndicate to members of the same syndicate or any other syndicate for an earlier year of account pursuant to any reinsurance to close and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari All the present and future assets comprised in the trust fund constituted under and pursuant to the trust deed including all monies, investments, income, gains and other assets representing or accruing to the trust fund. | ||||
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Charge dated 6 june 2000 in the terms of the lloyd's australian trust deed ("the trust deed") | Creato il 06 giu 2000 Consegnato il 22 giu 2000 | In corso | Importo garantito The payment of all claims of or submitted by a holder of any australian policy to which the trust deed applies (an "australian policy") and which has been underwritten by the corporate member or in respect of which the corporate member is liable as a member of a syndicate to members of the same syndicate or any other syndicate for an earlier year of account pursuant to any reinsurance to close and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari All the present and future assets comprised in the trust fund constituted under and pursuant to the trust deed including all monies, investments, income, gains and other assets representing or accruing to the trust fund. | ||||
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Charge dated 6 june 2000 in the terms of the lloyd's australian trust deed ("the trust deed") | Creato il 06 giu 2000 Consegnato il 22 giu 2000 | In corso | Importo garantito The payment of all claims of or submitted by a holder of any australian policy to which the trust deed applies (an "australian policy") and which has been underwritten by the corporate member or in respect of which the corporate member is liable as a member of a syndicate to members of the same syndicate or any other syndicate for an earlier year of account pursuant to any reinsurance to close and for securing the other amounts and obligations referred to in the trust | |
Brevi particolari The share of the corporate member in all the present and future assets comprised in the trust fund constituted under and pursuant to the trust deed including all monies, investments, income, gains and other assets representing or accruing to that share. | ||||
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A charge dated 24TH june 1999 in the terms of the lloyd's kentucky joint asset trust deed (the"trust deed") itself constituted by an instrument dated 23RD february 1996 (as amended and supplemented from time to time) and as supplemented by a deed of accession | Creato il 24 giu 1999 Consegnato il 09 lug 1999 | In corso | Importo garantito The payment of losses under any contract or policy which satisfies the definition of a kentucky policy in lloyd's kentucky trust deed (as amended from time to time) (a "kentucky policy") (b) returns of unearned premium under a kentucky policy, (c) all expenditures and fees of the trustee (as defined in the trust deed and being as at the date thereof national city bank kentucky of louisville kentucky usa) (d) repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed (e) certain transfers by the trustee to other trust funds or to the kentucky commissioner or other designated receiver and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The trust fund, the property set forth in schedule a to the trust deed comprising assets in aggregate of an amount not less than one third of the kentucky premiums written during the preceding calendar year. Cash in us currency or specifically designated readily marketable securities and/or letters of credit. (See form 395 for further details). | ||||
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Charge dated 30 april 1999 in the terms of the amended and restated lloyd's american surplus or excess lines insurance joint asset trust deed (the "trust deed") itself constituted by an instrument dated 7 september 1995 as amended and supplemented from time to time and as supplemented by a deed of accession | Creato il 30 apr 1999 Consegnato il 19 mag 1999 | In corso | Importo garantito (A) the payment of losses under: (I) any contract or policy of insurance issued by one or more members or past members of lloyd's pursuant to surplus lines or excess lines laws of any united states juridiction which is issued to a policyholder resident or doing business in the united states and providing insurance with respect to property or risks situated in a state, district, territory, commonwealth or possession of the united states provided that, with the exception of such contracts or policies attaching on or prior to 15 november 1995 underwritten under any binding authority incepting prior to 1 august 1995 and subject to (ii) below, such contracts or policies shall not include any contract or policy of insurance incepting on or after 1 august 1995 which is underwritten by members on or after that date, or (iii) any contract or policy which satisfies the definition of an american policy in lloyd's united states situs surplus lines trust deed (as amended from time to time), (an "american policy"); (b) returns of unearned premium under an american policy; (c) all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, U.S.A.); (d) repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed; (e) certain transfers by the trustee to other trust funds or to the chief regulatory officer for insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The trust fund, cash in us currency or specifically designated readily marketable securities and/or letters of credit substituted by current contributors at any time for any cash or assets then forming part of the trust fund. Cash drawn down on any letter of credit at any time and held as an asset of the trust fund pursuant to the terms of the trust deed. (See form M395 for further details). | ||||
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Charge dated 30 april 1999 in the terms of the amended and restated lloyd's american credit for reinsurance joint asset trust deed (the "trust deed") itself constituted by an instrument dated 7 september 1995 as amended and supplemented from time to time and as supplemented by a deed of accession | Creato il 30 apr 1999 Consegnato il 19 mag 1999 | In corso | Importo garantito (A) the payment of losses under: (I) any contract or policy of reinsurance issued by one or more members of lloyd's to a ceding insurer domiciled in a state, district, territory, commonwealth or possession of the united states providing reinsurance with respect to property or risks situated in a state, district, territory, commonwealth or possession of the united states provided that, with the exception of such contracts or policies attaching on or prior to 15 november 1995 underwritten under any binding authority incepting prior to 1 august 1995 and subject to (ii) below, such contracts or policies shall not include any contract or policy of reinsurance incepting on or after 1 august 1995 which is underwritten by members on or after that date, or (iii) any contract or policy which satisfies the definition of an american reinsurance policy in lloyd's united states situs credit for reinsurance trust deed (as amended from time to time), (an "american reinsurance policy"); (b) returns of unearned premium under an american reinsurance policy; (c) all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, U.S.a); (d) repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed; (e) certain transfers by the trustee to other trust funds or to the chief regulatory officer for insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The trust fund, cash in us currency or specifically designated readily marketable securities substituted by current contributors at any time for any cash or assets then forming part of the trust fund. Further contributions to the trust fund received by the trustee from time to time and held subject to the terms and conditions of the trust deed. (See form M395 for further details). | ||||
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Deed of charge (the "deed") in relation to syndicate no.623 As constituted for the 1999 year of account and made between the names, the dollar trustees (each as defined therein) and beazley furlonge limited as chargors and munchener ruckversicherungs- gesellschaft ("munich re") as chargee | Creato il 01 mar 1999 Consegnato il 22 mar 1999 | Soddisfatta integralmente | Importo garantito An adjustment premium in the aggregate amount of $15,000,000 together with every other sum owing, due or incurred by the names to the chargee in respect of any liability under a contract of excess of loss reinsurance, policy no.R9S782 | |
Brevi particolari (1) the dollar trustees charge to "munich re" with the payment and discharge of each name's obligations (a) by way of first fixed charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the dollar trust fund of such name in relation to which the managing agent has power to give directions, all right, title and interest of the dollar trustees in and to the monies at any time hereafter standing to the credit of any dollar special account (b) by way of first floating charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the dollar trust fund of such name in relation to which the managing agent has power to give directions, (I) all right title and interest of the name in and to such monies as are now payable or may hereafter at any time become payable to the name or to any person on behalf of the name in dollars under the specified syndicate reinsurance in respect of loss and as further defined in (ii)(iii) of the form M395 (2) the managing agent on behalf of each name charges to "munich re" with the payment and discharge of such name's obligations, by way of first floating charge (a) if and to the extent that (notwithstanding the provisions of the name's dollar trust deed) such assets are neither comprised in nor liable in the future to become comprised in that part of the dollar trust fund of such name in relation to which the managing agent has power to give directions (I) all right title and interest of the name in and to such monies as are now payable or may hereafter at any time become payable to the name or to any person on behalf of the name in dollars under the specified syndicate reinsurance in respect of loss and as further defined in (i)(ii)(b) of the form M395, please see companies house microfiche for full details. | ||||
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Deed of charge (the "deed") in relation to syndicate no.623 As constituted for the 1999 year of account and made between the names, the sterling trustees (each as defined therein) and beazley furlonge limited as chargors and munchener ruckversicherungs-gesellschaft ("munich re") as chargee | Creato il 01 mar 1999 Consegnato il 22 mar 1999 | Soddisfatta integralmente | Importo garantito An adjustment premium in the aggregate amount of $15,000,000 together with every other sum owing, due or incurred by the names to the chargee in respect of any liability under a contract of excess of loss reinsurance, policy no.R9S782 | |
Brevi particolari (1) the sterling trustees charge to "munich re" with the payment and discharge of each name's obligations (a) by way of first fixed charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the sterling trust fund of such name in relation to which the managing agent has power to give directions, all right, title and interest of the sterling trustees in and to the monies at any time hereafter standing to the credit of any sterling special account (b) by way of first floating charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the sterling trust fund of such name in relation to which the managing agent has power to give directions, (I) all right title and interest of the name in and to such monies as are now payable or may hereafter at any time become payable to the name or to any person on behalf of the name in sterling under the specified syndicate reinsurance in respect of loss and as further defined in (ii)(iii) of the form M395 (2) the managing agent on behalf of each name charges to "munich re" with the payment and discharge of such name's obligations, by way offirst floating charge (a) if and to the extent that (notwithstanding the provisions of the name's sterling trust deed) such assets are neither comprised in nor liable in the future to become comprised in that part of the sterling trust fund of such name in relation to which the managing agent has power to give directions (I) all right title and interest of the name in and to such monies as are now payable or may hereafter at any time become payable to the name or to any person on behalf of the name in sterling under the specified syndicate reinsurance in respect of loss and as further defined in (i)(ii)(b) of the form M395, please see companies house microfiche for full details. | ||||
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Lloyd's premium trust deed (general business) | Creato il 03 feb 1999 Consegnato il 22 feb 1999 | In corso | Importo garantito The losses claims returns of premiums reinsurance premiums expenses obligations and other "permitted trust outgoings" set out in clause 3(a) of and paragraph 1 of schedule 3 to the trust deed | |
Brevi particolari All present and future assets of the corporate member comprised in the trust fund constituted under and pursuant to the trust deed full particulars of which assets are set out in clause 2 of and schedule 2 to the trust deed (see form M395 for further details). | ||||
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Deed of charge (the "deed") and made between the names and the dollar trustees (each as defined therein) constituting the syndicate 33 1999 dollar obligor group as chargors, hiscox syndicates limited and barclays bank PLC (the "bank") as chargee | Creato il 25 gen 1999 Consegnato il 02 feb 1999 | In corso | Importo garantito A letter of credit facility granted by the chargee to the names and the dollar trustees as members of the syndicate 33 1999 dollar obligor group together with certain other parties in the aggregate amount of £100,000,000 or its equivalent from time to time in dollars | |
Brevi particolari (A) first fixed charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the dollar trust fund of the name in relation to which the managing agent has power to give directions, (I) all right title and interest of the name in and to such monies as are now payable or may hereafter at any time become payable to the name or to any person on behalf of the name in dollars under the specified syndicate reinsurances in consequence of any loss(es) and as (ii) (iii) on the form M395 (b) first floating charge, if and to the extent that such assets are or are liable in the future to become comprised in that part of the dollar trust fund of the name in relation to which the managing agent has power to give directions, see ch microfiche for full details. | ||||
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A charge dated 18TH january 1999 in the terms of the lloyd's united states situs excess or surplus lines trust deed (the "trust deed") but effective from 1ST january 1999 | Creato il 18 gen 1999 Consegnato il 21 gen 1999 | In corso | Importo garantito The payment of matured claims (including claims for loss and claims for the return of unearned premium) under contracts or policies of insurance incepting on or after 1ST august 1995 underwritten by the company as a member of syndicate no.2020 (The "syndicate") and allocable to the relevant year of account or in respect of which the company is liable as a member of the syndicate for the relevant year of account for an earlier year of account pursuant to any contract of reinsurance to close and issued to a policyholder pursuant to surplus lines or excess lines laws of any state, district, territory, commonwealth or possession of the united states (an "american policy"), all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, usa), repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed, and certain transfers by the trustee to an overseas fund (as defined in the trust deed) or to the superintendent of insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The property constituting the trust principal but excluding the investment income from time to time earned thereon. The property in the actual and sole possession of the trustee at anytime and held under the provisions of the trust deed allocable to the particular trust created by the company with respect to the particulars year of account of the syndicate ("the trust fund" or "trust") (see form 395 for further details). | ||||
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A charge dated 18TH january 1999 in the terms of the lloyd's united states situs excess or surplus lines trust deed (the "trust deed") but effective from 1ST january 1999 | Creato il 18 gen 1999 Consegnato il 21 gen 1999 | In corso | Importo garantito The payment of matured claims (including claims for loss and claims for the return of unearned premium) under contracts or policies of insurance incepting on or after 1ST august 1995 underwritten by the company as a member of syndicate no.360 (The "syndicate") and allocable to the relevant year of account or in respect of which the company is liable as a member of the syndicate for the relevant year of account for an earlier year of account pursuant to any contract of reinsurance to close and issued to a policyholder pursuant to surplus lines or excess lines laws of any state, district, territory, commonwealth or possession of the united states (an "american policy"), all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, usa), repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed, and certain transfers by the trustee to an overseas fund (as defined in the trust deed) or to the superintendent of insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The property constituting the trust principal but excluding the investment income from time to time earned thereon. The property in the actual and sole possession of the trustee at anytime and held under the provisions of the trust deed allocable to the particular trust created by the company with respect to the particulars year of account of the syndicate ("the trust fund" or "trust") (see form 395 for further details). | ||||
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Charge dated 18TH january 1999 in the terms of the lloyd's united states situs credit for reinsurance trust deed (the "trust deed") but effective from 1ST january 1999 itself constituted by an instrument | Creato il 18 gen 1999 Consegnato il 21 gen 1999 | In corso | Importo garantito The payment of losses (including claims for the return of unearned premium) under contracts or policies of reinsurance incepting on or after 1ST august 1995 underwritten by the company as a member of syndicate no.2020(the"syndicate") and allocable to the relevant year of account or in respect of which the company is liable as a member of the syndicate for the relevant year of account for an earlier year of account pursuant to any contract of reinsurance to close and issued to a ceding insurer domiciled in a state, district, territory, commonwealth or possession of the united states (an "american reinsurance policy"), all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, U.S.A.), repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed, and certain transfers by the trustee to an overseas fund (as defined in the trust deed) or to the superintendent of insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The principal at any time but excluding the investment income from time to time earned thereon (both capitalised terms having the meaning given thereto in section 11-2.1(b) of the new york estates, powers and trusts law), and the property in the actual and sole possession of the trustee (or held by the trustee in the name of a nominee) at any time and held under the provisions of the trust deed allocable to the particular trust created by the company with respect to the particular year of account of the relevant syndicate, and cash drawn down on any letter of credit at any time and held as an asset of the fund held under the provisions of the trust deed, and other property referred to in the trust deed. | ||||
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Charge dated 18TH january 1999 in the terms of the lloyd's united states situs credit for reinsurance trust deed (the "trust deed") but effective from 1ST january 1999 itself constituted by an instrument | Creato il 18 gen 1999 Consegnato il 21 gen 1999 | In corso | Importo garantito The payment of losses (including claims for the return of unearned premium) under contracts or policies of reinsurance incepting on or after 1ST august 1995 underwritten by the company as a member of syndicate no.360 (The"syndicate") and allocable to the relevant year of account or in respect of which the company is liable as a member of the syndicate for the relevant year of account for an earlier year of account pursuant to any contract of reinsurance to close and issued to a ceding insurer domiciled in a state, district, territory, commonwealth or possession of the united states (an "american reinsurance policy"), all expenditures and fees of the trustee (as defined in the trust deed and being, as at the date thereof, citibank N.A. of 111 wall street, new york, U.S.A.), repayment of cash or securities advanced by the trustee to the trust held under the provisions of the trust deed, and certain transfers by the trustee to an overseas fund (as defined in the trust deed) or to the superintendent of insurance of the state of new york or other designated receiver, and for securing the other amounts and obligations referred to in the trust deed | |
Brevi particolari The principal at any time but excluding the investment income from time to time earned thereon (both capitalised terms having the meaning given thereto in section 11-2.1(b) of the new york estates, powers and trusts law), and the property in the actual and sole possession of the trustee (or held by the trustee in the name of a nominee) at any time and held under the provisions of the trust deed allocable to the particular trust created by the company with respect to the particular year of account of the relevant syndicate, and cash drawn down on any letter of credit at any time and held as an asset of the fund held under the provisions of the trust deed, and other property referred to in the trust deed. | ||||
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Fonte dati
- Companies House del Regno Unito
Il registro ufficiale delle imprese nel Regno Unito, che fornisce l'accesso pubblico alle informazioni sulle imprese, come nomi, indirizzi, amministratori e depositi finanziari. - Licenza: CC0