Base
VOCCFMC #001491

KYOWA SHIPPING CO., LTD.

Cross-Source Intelligence

Vessel Arrivals

0

0 vessels · 0 ports

Compliance

Clear

OFAC SDN + BIS CSL

Latest SEC Filing

NPORT-P

2025-02-28

Data compiled from FMC Licensed Carriers, OFAC SDN, BIS Consolidated Screening List, SEC EDGAR · As of 2026-04-26 · Updates monthly

Sanctions & Compliance Screening

OFAC Specially Designated Nationals (SDN)

No matches found

Search of the OFAC SDN list for “KYOWA SHIPPING CO., LTD.” returned no matches.

BIS Consolidated Screening List (CSL)

No matches found

Search of the BIS CSL for “KYOWA SHIPPING CO., LTD.” returned no matches. This covers the BIS Entity List, Denied Persons List, OFAC SDN, ITAR Debarred, and 10 other U.S. export control lists.

No recent CF-1400 vessel entrance records found for this carrier.

SEC Filings (100)

NPORT-PEA Series Trust (CIK 0001592900)
2025-02-28
811-22961
EX-21.2NIPPON MINING HOLDINGS, INC. (CIK 0001264192)Nippon Oil Corp (CIK 0001452922)
2009-12-28
333-164036-01333-164036
EX-10.3Ultragenyx Pharmaceutical Inc. (RARE) (CIK 0001515673)
2019-05-07
001-36276
EX-10.5Ultragenyx Pharmaceutical Inc. (RARE) (CIK 0001515673)
2018-02-21
001-36276
EX-10.17MILLENNIUM PHARMACEUTICALS INC (CIK 0001002637)
2002-03-07
000-28494
NPORT-EXEA Series Trust (CIK 0001592900)
2025-02-28
811-22961
EX-10.15Ultragenyx Pharmaceutical Inc. (RARE) (CIK 0001515673)
2025-02-19
001-36276
NPORT-EXiSHARES TRUST (CIK 0001100663)
2019-06-25
811-09729
NPORT-EXiSHARES TRUST (CIK 0001100663)
2020-06-29
811-09729
NPORT-EXiSHARES TRUST (CIK 0001100663)
2019-12-26
811-09729
NPORT-PHARBOR FUNDS (CIK 0000793769)
2022-09-29
811-04676
NPORT-EXiSHARES TRUST (CIK 0001100663)
2020-12-28
811-09729
NPORT-PHARBOR FUNDS (CIK 0000793769)
2025-03-28
811-04676
NPORT-EXiSHARES TRUST (CIK 0001100663)
2021-06-28
811-09729
NPORT-EXiSHARES TRUST (CIK 0001100663)
2021-07-02
811-09729
NPORT-PInvesco Exchange-Traded Fund Trust II (CIK 0001378872)
2022-06-29
811-21977
NPORT-PInvesco Exchange-Traded Fund Trust II (CIK 0001378872)
2022-04-01
811-21977
NPORT-PHARBOR FUNDS (CIK 0000793769)
2022-06-29
811-04676
NPORT-PHARBOR FUNDS (CIK 0000793769)
2022-03-30
811-04676
NPORT-PAMERICAN CENTURY ETF TRUST (CIK 0001710607)
2023-01-19
811-23305
NPORT-EXWILMINGTON FUNDS (CIK 0000830744)
2020-09-25
811-05514
NPORT-EXAMERICAN CENTURY ETF TRUST (CIK 0001710607)
2023-01-19
811-23305
NPORT-PHARBOR FUNDS (CIK 0000793769)
2024-12-27
811-04676
10QSBAMANASU ENVIRONMENT CORP (CIK 0001142801)
2005-11-14
000-32905
NPORT-EXForethought Variable Insurance Trust (CIK 0001580353)
2024-05-24
811-22865
NPORT-EXWILMINGTON FUNDS (CIK 0000830744)
2021-03-29
811-05514
NPORT-PManaged Account Series (CIK 0001323737)
2025-03-27
811-21763
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2020-07-24
811-02594
NPORT-PJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2022-12-23
811-22903
NPORT-PJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2023-03-27
811-22903
NPORT-PiSHARES TRUST (CIK 0001100663)
2020-09-28
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2020-06-29
811-09729
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2021-07-26
811-02594
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2020-07-24
811-02594
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2022-01-24
811-02594
NPORT-PiSHARES TRUST (CIK 0001100663)
2019-12-26
811-09729
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2021-01-22
811-02594
NPORT-PSEI INSTITUTIONAL INVESTMENTS TRUST (CIK 0000939934)
2022-04-29
811-07257
NPORT-PiSHARES TRUST (CIK 0001100663)
2020-03-27
811-09729
NPORT-PJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2022-09-29
811-22903
NPORT-PJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2023-06-27
811-22903
NPORT-EXiSHARES TRUST (CIK 0001100663)
2021-12-28
811-09729
NPORT-PJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2023-09-29
811-22903
NPORT-PBlackRock ETF Trust (CIK 0001761055)
2023-03-29
811-23402
NPORT-EXiSHARES TRUST (CIK 0001100663)
2022-06-27
811-09729
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2005-03-31
811-09081
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2023-07-25
811-02594
NPORT-PiSHARES TRUST (CIK 0001100663)
2021-09-28
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2022-06-27
811-09729
NPORT-PHARBOR FUNDS (CIK 0000793769)
2021-12-27
811-04676
NPORT-EXMFS SERIES TRUST IV (CIK 0000063068)
2023-01-24
811-02594
NPORT-PiSHARES TRUST (CIK 0001100663)
2022-03-29
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2021-12-28
811-09729
EX-10.42ALNYLAM PHARMACEUTICALS, INC. (ALNY) (CIK 0001178670)
2011-02-18
000-50743
NPORT-PWILMINGTON FUNDS (CIK 0000830744)
2021-06-24
811-05514
NPORT-PBlackRock ETF Trust (CIK 0001761055)
2022-12-27
811-23402
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2004-09-29
811-09081
NPORT-PWILMINGTON FUNDS (CIK 0000830744)
2020-06-23
811-05514
NPORT-EXForethought Variable Insurance Trust (CIK 0001580353)
2024-11-22
811-22865
NPORT-PWILMINGTON FUNDS (CIK 0000830744)
2020-12-22
811-05514
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2005-09-27
811-09081
NPORT-EXPGIM ETF TRUST (CIK 0001727074)
2023-01-25
811-23324
NPORT-EXBlackRock ETF Trust (CIK 0001761055)
2022-12-27
811-23402
NPORT-PWILMINGTON FUNDS (CIK 0000830744)
2021-03-29
811-05514
NPORT-PiSHARES TRUST (CIK 0001100663)
2024-02-26
811-09729
NPORT-PWILMINGTON FUNDS (CIK 0000830744)
2020-09-25
811-05514
NPORT-PiSHARES TRUST (CIK 0001100663)
2021-06-28
811-09729
NPORT-PAMERICAN CENTURY ETF TRUST (CIK 0001710607)
2023-07-24
811-23305
NPORT-P/AiSHARES TRUST (CIK 0001100663)
2021-07-02
811-09729
NPORT-EXAMERICAN CENTURY ETF TRUST (CIK 0001710607)
2023-07-24
811-23305
NPORT-PiSHARES TRUST (CIK 0001100663)
2021-03-31
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2020-12-28
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2024-11-26
811-09729
NPORT-PPGIM ETF TRUST (CIK 0001727074)
2022-10-27
811-23324
NPORT-PPGIM ETF TRUST (CIK 0001727074)
2023-01-25
811-23324
NPORT-PiSHARES TRUST (CIK 0001100663)
2024-08-26
811-09729
NPORT-PiSHARES TRUST (CIK 0001100663)
2021-09-28
811-09729
NPORT-PManaged Account Series (CIK 0001323737)
2024-09-27
811-21763
NPORT-PiSHARES TRUST (CIK 0001100663)
2024-05-28
811-09729
NPORT-PManaged Account Series (CIK 0001323737)
2022-09-27
811-21763
NPORT-PAMERICAN CENTURY ETF TRUST (CIK 0001710607)
2023-04-26
811-23305
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2006-09-29
811-09081
NPORT-PHARBOR FUNDS (CIK 0000793769)
2022-12-29
811-04676
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2008-09-26
811-09081
NPORT-EXForethought Variable Insurance Trust (CIK 0001580353)
2023-11-22
811-22865
N-QDREYFUS PREMIER STOCK FUNDS (CIK 0001199348)
2005-03-01
811-21236
NPORT-PForethought Variable Insurance Trust (CIK 0001580353)
2024-05-24
811-22865
NPORT-PForethought Variable Insurance Trust (CIK 0001580353)
2024-08-20
811-22865
NPORT-EXBLACKROCK ADVANTAGE GLOBAL FUND, INC. (CIK 0000922457)
2023-11-28
811-07171
N-QSPDR INDEX SHARES FUNDS (Formerly streetTRACKS Index Shares Funds) (CIK 0001168164)
2007-08-29
811-21145
NPORT-EXiSHARES TRUST (CIK 0001100663)
2024-08-26
811-09729
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2007-03-28
811-09081
NPORT-EXiSHARES TRUST (CIK 0001100663)
2025-08-26
811-09729
N-QMORGAN STANLEY INTERNATIONAL FUND (CIK 0001072552)
2006-03-29
811-09081
NPORT-EXiSHARES TRUST (CIK 0001100663)
2025-02-25
811-09729
NPORT-EXJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2023-09-29
811-22903
NPORT-EXJ.P. Morgan Exchange-Traded Fund Trust (CIK 0001485894)
2023-03-27
811-22903
NPORT-EXInvesco Exchange-Traded Fund Trust II (CIK 0001378872)
2021-09-28
811-21977
NPORT-EXiSHARES TRUST (CIK 0001100663)
2024-02-26
811-09729
NPORT-PHARBOR FUNDS (CIK 0000793769)
2024-09-27
811-04676

Source: SEC EDGAR Full-Text Search

Federal Register Mentions (3)

Notice2022-01533
2022-01-26

Notice of Agreement Filed

Notice2021-16090
2021-07-28

Notice of Agreements Filed

Notice2021-13203
2021-06-24

Notice of Agreements Filed

About This Carrier

KYOWA SHIPPING CO., LTD. is a Vessel-Operating Common Carrier (VOCC) licensed by the U.S. Federal Maritime Commission (FMC). VOCCs operate or charter vessels in the oceanborne foreign commerce of the United States and are required to publish their service terms, rates, and surcharges in a publicly accessible tariff filing.

The FMC organization number 001491 is a unique identifier assigned to this carrier by the FMC. It appears in regulatory filings, service contract records, and in the FMC’s public tariff database.

The tariff filing URL points to a publicly accessible schedule maintained by the carrier listing freight rates, accessorial charges, rules, and service terms that apply to cargo moving on their ocean services. Under 46 U.S.C. § 40501, VOCCs must keep their tariffs current and accessible to the shipping public.

Tariff Filing

FMC-Published Tariff Schedule

This carrier’s public tariff contains ocean freight rates, surcharges (BAF, CAF, THC, PSS), rules governing cargo acceptance, and terms for any service contracts. Required by 46 U.S.C. § 40501 and monitored by the FMC for compliance.

www.dpiusa.com
View Tariff →
KMTC LINELIBERTY GLOBAL LOGISTICS LLC