Base
VOCCFMC #013148

WAN HAI LINES LTD.

Cross-Source Intelligence

Vessel Arrivals

0

0 vessels · 0 ports

Compliance

Clear

OFAC SDN + BIS CSL

Latest SEC Filing

N-PX

2005-08-29

Data compiled from FMC Licensed Carriers, OFAC SDN, BIS Consolidated Screening List, SEC EDGAR · As of 2026-04-25 · Updates monthly

Sanctions & Compliance Screening

OFAC Specially Designated Nationals (SDN)

No matches found

Search of the OFAC SDN list for “WAN HAI LINES LTD.” returned no matches.

BIS Consolidated Screening List (CSL)

No matches found

Search of the BIS CSL for “WAN HAI LINES 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)

N-PXPRINCIPAL INTERNATIONAL EMERGING MARKETS FUND INC (CIK 0001040610)
2005-08-29
811-08249
N-PX/APRINCIPAL INTERNATIONAL EMERGING MARKETS FUND INC (CIK 0001040610)
2005-08-30
811-08249
NPORT-PETF Series Solutions (CIK 0001540305)
2022-05-31
811-22668
N-PX/APRINCIPAL INTERNATIONAL FUND INC (CIK 0000353024)
2005-08-30
811-03183
NPORT-PETF Series Solutions (CIK 0001540305)
2022-08-26
811-22668
N-PXPRINCIPAL INTERNATIONAL FUND INC (CIK 0000353024)
2005-08-29
811-03183
NPORT-PETF Series Solutions (CIK 0001540305)
2025-11-26
811-22668
6-KDiana Containerships Inc. (PSHG) (CIK 0001481241)
2018-05-30
001-35025
NPORT-PETF Series Solutions (CIK 0001540305)
2023-02-28
811-22668
6-KDiana Containerships Inc. (PSHG) (CIK 0001481241)
2017-12-22
001-35025
NPORT-PETF Series Solutions (CIK 0001540305)
2022-11-29
811-22668
6-KDiana Containerships Inc. (PSHG) (CIK 0001481241)
2017-12-01
001-35025
NPORT-PETF Series Solutions (CIK 0001540305)
2023-05-30
811-22668
NPORT-PETF Series Solutions (CIK 0001540305)
2025-08-26
811-22668
NPORT-PETF Series Solutions (CIK 0001540305)
2025-05-30
811-22668
NPORT-PPROSHARES TRUST (CIK 0001174610)
2024-04-26
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2025-10-29
811-21114
NPORT-PiShares, Inc. (CIK 0000930667)
2022-10-25
811-09102
NPORT-PPROSHARES TRUST (CIK 0001174610)
2022-10-21
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2023-01-25
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2023-10-27
811-21114
NPORT-PiShares, Inc. (CIK 0000930667)
2025-10-27
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2024-07-26
811-09102
NPORT-PPROSHARES TRUST (CIK 0001174610)
2022-07-27
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2025-07-28
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2025-04-24
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2024-07-29
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2024-01-25
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2024-10-25
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2023-04-24
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2023-07-26
811-21114
NPORT-PPROSHARES TRUST (CIK 0001174610)
2025-01-27
811-21114
NPORT-PiShares, Inc. (CIK 0000930667)
2024-10-25
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2022-04-26
811-09102
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2020-08-24
811-23124
NPORT-PiShares, Inc. (CIK 0000930667)
2022-01-27
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2023-01-25
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2026-04-23
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2022-07-27
811-09102
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2019-11-22
811-23124
NPORT-PiShares, Inc. (CIK 0000930667)
2023-07-27
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2026-01-28
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2021-10-27
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2024-04-24
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2025-01-24
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2024-01-26
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2025-07-25
811-09102
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2020-05-15
811-23124
NPORT-PiShares, Inc. (CIK 0000930667)
2021-07-28
811-09102
NPORT-PPROSHARES TRUST (CIK 0001174610)
2026-04-24
811-21114
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2020-02-28
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2021-02-26
811-23124
NPORT-PiShares, Inc. (CIK 0000930667)
2025-04-24
811-09102
NPORT-PiShares, Inc. (CIK 0000930667)
2023-10-27
811-09102
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2021-08-13
811-23124
NPORT-PiShares, Inc. (CIK 0000930667)
2023-04-25
811-09102
NPORT-PETF Series Solutions (CIK 0001540305)
2023-06-28
811-22668
NPORT-PGlobal X Funds (CIK 0001432353)
2023-09-29
811-22209
NPORT-PGlobal X Funds (CIK 0001432353)
2023-06-29
811-22209
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2021-05-26
811-23124
NPORT-PSSGA FUNDS (CIK 0000826686)
2022-07-28
811-05430
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2022-02-28
811-23124
NPORT-PPROSHARES TRUST (CIK 0001174610)
2026-01-28
811-21114
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2020-11-05
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2022-05-10
811-23124
NPORT-PETF Series Solutions (CIK 0001540305)
2023-09-29
811-22668
NPORT-PAdvisors' Inner Circle Fund III (CIK 0001593547)
2025-05-30
811-22920
NPORT-PAdvisors' Inner Circle Fund III (CIK 0001593547)
2025-08-28
811-22920
NPORT-PGlobal X Funds (CIK 0001432353)
2023-03-31
811-22209
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2023-05-25
811-23124
NPORT-PArrow Investments Trust (CIK 0001527428)
2021-12-29
811-22638
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2022-11-04
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2021-11-12
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2023-02-28
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2022-08-29
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2023-08-29
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2024-08-26
811-23124
NPORT-PFIRST TRUST EXCHANGE-TRADED FUND III (CIK 0001424212)
2022-12-28
811-22245
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2025-05-20
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2025-11-28
811-23124
NPORT-PArrow Investments Trust (CIK 0001527428)
2022-12-27
811-22638
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2025-02-24
811-23124
NPORT-PArrow Investments Trust (CIK 0001527428)
2022-03-30
811-22638
NPORT-PIVY FUNDS (CIK 0000883622)
2022-08-26
811-06569
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2025-08-26
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2023-11-17
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2024-02-28
811-23124
NPORT-PArrow Investments Trust (CIK 0001527428)
2023-03-31
811-22638
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2024-05-28
811-23124
NPORT-PArrow Investments Trust (CIK 0001527428)
2022-09-27
811-22638
NPORT-PFIRST TRUST EXCHANGE-TRADED FUND III (CIK 0001424212)
2023-03-23
811-22245
NPORT-PArrow Investments Trust (CIK 0001527428)
2022-06-28
811-22638
NPORT-PFIRST TRUST EXCHANGE-TRADED FUND III (CIK 0001424212)
2023-06-26
811-22245
NPORT-PIndexIQ ETF Trust (CIK 0001415995)
2023-12-20
811-22227
NPORT-PFIRST TRUST EXCHANGE-TRADED FUND III (CIK 0001424212)
2023-09-25
811-22245
NPORT-PFIRST TRUST EXCHANGE-TRADED FUND III (CIK 0001424212)
2022-09-26
811-22245
NPORT-PArrow Investments Trust (CIK 0001527428)
2021-09-27
811-22638
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2024-11-27
811-23124
NPORT-PFranklin Templeton ETF Trust (CIK 0001655589)
2026-02-26
811-23124
NPORT-PAdvisors' Inner Circle Fund III (CIK 0001593547)
2025-02-27
811-22920

Source: SEC EDGAR Full-Text Search

About This Carrier

WAN HAI LINES 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 013148 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.

http://rates.descartes.com
View Tariff →
Wan Hai LinesWORLD DIRECT SHIPPING, LLC