UCITS Fund
COMMODITY CAPITAL
Supervised by the CSSF · active
Commodity Capital is a UCITS fund regulated by the CSSF (Commission de Surveillance du Secteur Financier) under the Law of 17 December 2010 governing undertakings for collective investment. It holds an active UCI licence, with the licence date recorded as 25 November 2009 in the CSSF official register. As a UCITS fund, it falls within the collective investment framework subject to ongoing regulatory oversight under Luxembourg and EU rules. No registered address is specified in the available data, no LEI code has been registered for the entity, and no RCS registration number is recorded in the CSSF register data used for this profile.
Key facts
- Fund structure
- UCITS Fund
- RCS number
- —
- LEI
- —
- Regulatory regime
- UCI (Law of 17 December 2010)
- Authorised since
- 25 November 2009
- Registered address
- —
About COMMODITY CAPITAL
Commodity Capital holds a UCI licence under the Law of 17 December 2010, the primary Luxembourg legislation governing undertakings for collective investment in transferable securities. This licence category permits the entity to operate as a UCITS fund, a structure designed to pool investor assets in accordance with a standardised EU regulatory framework intended to ensure investor protection and fund transparency. The CSSF, which maintains the official register of authorised collective investment vehicles, records the licence status of Commodity Capital as active, with an effective licence date of 25 November 2009. Supervision by the CSSF involves ongoing compliance monitoring under both Luxembourg national rules and applicable EU directives governing UCITS funds. No Legal Entity Identifier has been registered for Commodity Capital, meaning it does not currently carry the globally recognised LEI code used in regulatory reporting and financial transaction identification. No RCS number is available in the CSSF register data associated with this entity, and no registered office address is specified in the records underpinning this profile. No information on specific investment strategies, asset classes, or services offered is contained within the CSSF register data used as the source for this entry. Any details beyond what is recorded here — such as fund manager identity, portfolio composition, or fee structures — would need to be sourced directly from the fund's prospectus or official offering documents filed with the regulator.