The trademark application was filed by The Depository Trust & Clearing Corporation, a U.S. corporation (the "Applicant"). The application was published for oppositions on September 20, 2020, and it was registered by office on December 28, 2020 without any oppositions.
The application was filed in English (French was selected as the second language).
Deletion of the representative of the trademark registration was recorded on February 2, 2021. Appointment and Replacement of representative of the trademark registration was recorded on February 11, 2021. Change of name and address of the trademark registration was recorded on June 28, 2023.
Goods And Services
The mark was filed in class 9 with Computer software used for financial transactions in the fields of securities trade processing and trade management and Downloadable electronic publications in the nature of articles, whitepapers, reports, presentations, and educational materials in the field of financial services..
The mark was filed in class 35 with following description of goods:
Providing business information to businesses and legal entities
Providing business information to businesses and legal entities in the field of financial instruments and transactions
Compilation and systemization of business and legal entity information and data into computer databases
Trade repository services, namely, the collection, storage, maintenance, management, recordkeeping and reporting of information relating to derivatives transactions for regulatory compliance
Issuance, collection, storage, maintenance, management, and dissemination of business legal entity data for business purposes.
The mark was filed in class 36 with following description of goods:
Clearing, reconciling, and processing financial transactions via a global computer network
Financial transaction processing services, namely, processing and management of post trade activity, namely, clearance and settlement of financial transactions
Financial clearing houses
Financial transaction services, namely, national clearinghouse services for the settlement of trades in securities and other financial products
Financial custody services, namely, maintaining possession and record of securities and other financial instruments for others for financial purposes
Financial information services, namely, providing commercial identifiers and entity information for legal entities that engage in financial transactions
Providing financial information services to underwriting entities in the field of financial instruments
Financial information processing for underwriting, settlement, and deposit of eligible securities
Tax services, namely, tax withholding services and tax reporting services
Financial processing, financial information, and financial services, namely, settlement of commissions payments and invoices in the wealth management field regarding mutual funds, alternative investment products, and insurance and retirement products
Financial information processing services for secure information exchange in the field of wealth management regarding mutual funds, alternative investment products, and insurance and retirement products
Financial information services, namely, the creation and dissemination of databases, aggregates, reports, benchmarks, data analytics of securities in the fields of finance
Financial information services for use in connection with securities underwriting, corporate actions processing, securities processing, tax services, and issuer services of securities
Financial information services to automate, standardize, and centralize mutual fund, alternate investment products, and insurance and retirement products and processes
Financial information services, namely, providing information regarding financial trade management
Financial transaction processing services, namely, post-trade securities processing and pre-settlement services featuring provision of information to market participants about the details of their trades in the field of securities financial assets
Financial information services, namely, communicating post-trade settlement details between investment managers and broker/dealers prior to confirmation to avoid settlement delay, eliminate clerical errors, and reduce risk of trade failure
Financial transaction processing of securities trading featuring processing of standing settlement and account instructions.
The mark was filed in class 38 with following description of goods:
Electronic messaging services
Electronic transmission of securities trading information
Electronic messaging services, featuring automated notices of trade execution and allocation
Electronic transmission for others of securities trading instruction data via computer networks, the internet and direct lease-line connections.
The mark was filed in class 41 with following description of goods:
Arranging and conducting live and on-line seminars and educational conferences in the field of finance
Educational services, namely, development and dissemination of on-line educational materials in the field of finance
Providing online, non-downloadable electronic publications in the nature of articles, whitepapers, reports, presentations, and educational materials in the field of financial services.
The mark was filed in class 42 with following description of goods:
Providing online, non-downloadable software to facilitate the processing and management of post trade activity
Providing online, non-downloadable software for automated securities trade matching, execution, and settlement services
Providing online, non-downloadable software for use in securities trade allocation and confirmation
Providing an online, non-downloadable platform for securities trade matching and processing
Providing online, non-downloadable software and data feeds in the field of finance to facilitate access to and use of data, reports and analytics related to financial instruments and transactions
Developing customized web pages and data feeds featuring user-defined information in the field of financial instruments and transactions
Providing online, non-downloadable software to facilitate the management of collateral
Providing online, non-downloadable software that automates and standardizes invoices and fee data to mutual funds, facilitates fee payments between mutual funds and their intermediaries, and automates settlement of mutual fund fees
Providing online, non-downloadable software that enables insurance distributors to electronically exchange data relating to post-issue processing of insurance and retirement information.