Please be informed the revised wording of the below documents of the bank related to the provision of investment services will be effective as of October 1, 2017:

  • The Policy for Execution of Orders in Financial Instruments;
  • The Terms and Conditions for Provision of Investment Services;
  • The Policy for Avoiding Conflicts of Interest in Providing Investment Services;
  • The Description of Financial Instruments and Related Risks.

Please also note that October 1, 2017 is the date of effect of the Client Classification Guidelines, which explain the procedures for classifying clients and the level of investor protection rights arising from such classification.

For the current and revised wording of the documents related to the provision of investment services please refer here.

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