Foreign currency accounts

Size: px
Start display at page:

Download "Foreign currency accounts"

Transcription

1 foreign currency accounts Our terms and conditions for Foreign currency accounts Including fee and rebate levels.

2 Contents PAGE 1 Definitions Fee and fee rebates Fees Other fees Fee rebates Fee and rebate levels 2 Credit interest 3 Authorised overdraft facility Unauthorised overdraft facility Debit interest rate Repayment on demand 4 Variation of terms General 5 Personal information Security and disclosure of information The Privacy Act 1993 BNZ s use of information Market research Credit agencies Please tell us Important information The possible exchange risk arising from conversion of currencies is the responsibility of the Account Holder(s). The Account Holder(s) will not hold BNZ responsible in any way for any loss which the Account Holder(s) may suffer as a result of BNZ converting currencies on the Account Holder(s) behalf. Terms and conditions 1 Definitions Account means the Foreign Currency Account in the name of the Account Holder(s), the terms and conditions of which are stated here. Account Holder(s) means the customer(s) of BNZ who operate an Account or Accounts. BNZ means the Bank of New Zealand, an incorporated company having its registered office at Auckland, New Zealand. Month for interest purposes refers to the period from the day after the last business day in a month up to and including the last business day of the next month. 2 Fee and fee rebates 2.1 Fees The Account Holder(s) agrees to pay all fees, charges, commissions and commitment fees as fixed by BNZ from time to time in connection with the Account and if applicable, the overdraft facility. It is hereby agreed that BNZ may debit the Account in the currency in which the Account is conducted, with charges from time to time. 2.2 Other fees BNZ s standard Cash Handling and Cheque Clearance fees will apply to Accounts used by business customers, or to Accounts used for business purposes. For information about Account and Service fees, please ask at your nearest BNZ store, or visit our website bnz.co.nz. 2.3 Fee rebates Details of the fee rebate for which the Account is eligible may be viewed on BNZ s website or may be obtained at your nearest BNZ store. Account fees, charges and rebates may be changed by BNZ at any time. For fee rebate purposes, average balances are calculated over the period from the last business day of the previous month until the penultimate business day of the current month. 1

3 2.4 Fee and rebate levels Current as at 20 March 2010 Monthly Foreign Currency Account Country Currency Maintenance Fee in Currency of Account* Currency Rebate Level* United States USD ,000 Australia AUD ,000 Great Britain GBP ,000 European Monetary Union EUR ,000 Japan JPY ,500,000 Canada CAD ,000 Hong Kong HKD ,000 Switzerland CHF ,000 Singapore SGD ,000 Sweden SEK ,000 Denmark DKK ,000 Norway NOK ,000 South Africa ZAR ,000 * Subject to change from time to time. 3 Credit interest BNZ may, at its sole discretion, agree to pay interest on credit balances in the Account. Credit interest will only be payable on credit balances in excess of the minimum balance specified by BNZ for this purpose in respect of the currency in which the Account is conducted. BNZ may specify account balance bands above the minimum balance in respect of which different interest rates will apply. The minimum balance, currency bands and prevailing interest rates applying will be shown on each statement. The minimum balance, currency bands and indicative interest rates are otherwise available upon request from any BNZ store or on BNZ s website, bnz.co.nz. BNZ may vary the minimum balance, currency bands and interest rates or cease to pay interest on credit balances at any time without notice to the Account Holder(s). Where credit interest applies to the Account, gross interest will be credited in the currency of the Account to the Account monthly on the last business day of the Month. Any deduction, levy or withholding tax required under any applicable law will be charged separately to the Account on the last business day of the Month. Interest will be calculated daily based on a year of having 360, 365 or other number of days depending upon the accounting convention relating to the currency of the Account. 4 Authorised overdraft facility Without limitation to clause 5, if BNZ agrees, and provided that the Account Holder(s) has signed a Letter of Advice (Foreign Currency Overdraft), the Account Holder(s) may use the Account to borrow money on overdraft. The terms upon which the overdraft will be made available are set out in the Letter of Advice (Foreign Currency Overdraft). 5 Unauthorised overdraft facility If the Account Holder(s) has not signed a Letter of Advice (Foreign Currency Overdraft) and if for any reason there are insufficient funds available to meet debits from the Account, these will be paid at BNZ s discretion and honour/dishonour fees will be charged to the Account. 5.1 Debit interest rate Debit interest shall be payable in the currency of the Account by the Account Holder(s) to BNZ on the debit balance of the unauthorised overdraft facility at BNZ s current debit interest rate applying from time to time to that unauthorised overdraft facility. Debit interest will be charged monthly to the Account on the last business day of the month. If the Account is in debit when any interest is debited, then such interest shall be capitalised and form part of the unauthorised overdraft facility and bear interest in accordance with these terms and conditions. 2 3

4 5.2 Repayment on demand The unauthorised overdraft facility is repayable on demand at any time as requested by BNZ. On demand the Account Holder(s) will pay to BNZ at the address of BNZ s office where the Account is held all monies which may now or hereafter be owing or unpaid, including but not limited to: > usual charges for keeping accounts, transaction fees, base fees, overdraft facility fee and other fees, charges and expenses payable or chargeable in accordance with the customary usage of BNZ, all of which are subject to amendment from time to time at BNZ s discretion; > all legal and other costs, charges and expenses which BNZ may pay or incur in connection with these terms and conditions or the recovery of any monies owing hereunder; and > all outstanding interest on all such monies calculated until the time of payment. 6 Variation of terms BNZ reserves the right to change, add to, delete, or replace at any time any of these terms and conditions by giving you notice, either in writing or by public advertisement, a reasonable time before the changes take effect. 7 General This Account is subject to BNZ s standard account terms applicable to the relationship between BNZ and the Account Holder(s) and/or operation of accounts. Where there is any inconsistency between these terms and conditions and BNZ s standard account terms and conditions, these terms and conditions shall prevail. BNZ reserves the right to decline an application to open an Account, or to require an Account to be closed. The Account Holder(s) and BNZ are legally bound by a transaction from the time a transaction is agreed between the parties. If in relation to an outstanding transaction BNZ is prevented for any reasons beyond our control from making or receiving a payment in the place or manner agreed, BNZ may terminate the transaction immediately and notify the Account Holder(s) accordingly. For the purposes of this clause only, reasons beyond our control includes disruption in a market in which BNZ normally deals, disruption in the means by which we usually communicate, and a change in any law affecting these terms and conditions or a transaction under it. If there is more than one Account Holder these terms and conditions bind the Account Holder(s) jointly and each of them severally. BNZ shall be entitled to debit any account of the Account Holder(s) (or any of them) with BNZ with any monies at any time owing in respect of this Account. Any demand on or notice to the Account Holder(s) shall be made in writing addressed to the Account Holder(s) (or any of them) and signed on behalf of BNZ by any officer of BNZ and shall be deemed to have been served if delivered to the Account Holder(s) (or any of them) personally or addressed to the Account Holder(s) (or any of them) and left at or posted to the last known place of business or residence of the Account Holder(s) (or any of them) in New Zealand. BNZ may, except to the extent precluded by legislation from doing so, recover from the Account Holder(s), whether by debiting to the Account or any other account of the Account Holder(s) or otherwise, all or any government duties, taxes, levies or charges now or hereafter applicable to the Account. 8 Personal information This statement relates to information about the Account Holder(s) which the Account Holder(s) has provided or will provide to BNZ and/or its related companies (as defined by the Companies Act 1993) ( BNZ Group ) or which the BNZ Group may hold now or in the future. Any member of the BNZ Group may rely on this clause pursuant to the Contracts (Privity) Act Security and disclosure of information The BNZ Group will ensure that information about the Account Holder(s) is protected by security safeguards as required by the Privacy Act No member of the BNZ Group will disclose the information to any person, except for the purposes described below or as authorised by the Account Holder(s) or when required or authorised by law. 4 5

5 8.2 The Privacy Act 1993 Pursuant to the Privacy Act 1993, if the Account Holder(s) is an individual, the Account Holder(s) has the right to see and correct personal information about the Account Holder(s) held by the BNZ Group. 8.3 BNZ s use of information The information the BNZ Group holds will be used primarily to administer the Account Holder(s) account(s). In particular, this may involve BNZ sharing information with other members of the BNZ Group in relation to data processing, data storage or when it is proper to do so. This information may be used by the BNZ Group to advise the Account Holder(s) of products, services, promotions or other information that may or may not be related to the Account Holder(s) Account; and/or develop or begin a relationship with the Account Holder(s). This may involve, amongst other things, contacting the Account Holder(s) via , text message or an online facility (without an unsubscribe facility), or by telephone or post. 8.6 Please tell us If the Account Holder(s) does not wish to provide all the information requested on an application form, then please tell the BNZ officer dealing with the Account Holder(s). If the Account Holder(s) does not provide all the information requested on the application form, BNZ may restrict the products, facilities and/or services available to the Account Holder(s). Full details including BNZ s standard account terms and conditions and BNZ s current disclosure statement may be obtained from any BNZ store or agency or viewed on BNZ s website at bnz.co.nz. 8.4 Market research To seek the Account Holder(s) views on its services and the products it offers, the BNZ Group may provide the Account Holder(s) name, address and telephone number to reputable market research organisations. The information is selected at random and places the Account Holder(s) under no obligation to take part in the market research. The information is supplied in strict confidence to the research organisation, which will not be authorised to use it for any other purpose. However, if the Account Holder(s) does not wish to be involved, please advise BNZ. 8.5 Credit agencies In respect of opening accounts, loan applications and reviews, the Account Holder(s) authorises the BNZ Group to make credit references and other enquiries within its normal procedures. For this purpose, the BNZ Group may seek from any such source information concerning the Account Holder(s). In the event that the Account Holder(s) is in default under any loan or facility from the BNZ Group, the BNZ Group is authorised to disclose all relevant personal information to and for the use of credit reference agencies, debt collection agencies and law firms. 6 7

6 Notes Notes 8 9

7 Need more information? > > Talk to us in store > > Visit bnz.co.nz > > Give us a call 0800 ASK BNZ ( ) /10

Business and Agribusiness Account and service fees

Business and Agribusiness Account and service fees Business and Agribusiness Account and service fees April 2018 PARTNERS Account fees Account fees are subject to change at any time. Where applicable, account fees are in addition to all service fees. Business

More information

Personal account, service and facility fees

Personal account, service and facility fees Personal account, service and facility fees This brochure contains certain key information required by the Credit Contracts and Consumer Finance Act 2003. May 2017 Account fees Account fees are charged

More information

Personal account, service and facility fees

Personal account, service and facility fees Personal account, service and facility fees This brochure contains certain key information required by the Credit Contracts and Consumer Finance Act 2003. April 2018 Account fees Account fees are charged

More information

PERSONAL ACCOUNT, SERVICE AND FACILITY FEES

PERSONAL ACCOUNT, SERVICE AND FACILITY FEES PERSONAL ACCOUNT, SERVICE AND FACILITY FEES This brochure contains certain key information required by the Credit Contracts and Consumer Finance Act 2003. March 2019 Account fees Account fees are charged

More information

Effective for transactions prior to 30 May 2011 Commission rates

Effective for transactions prior to 30 May 2011 Commission rates Effective for transactions prior to 30 May 2011 Commission rates Commission for share CFDs for New Zealand residents Country of share CFD Rate Minimum Australia 0.10% AUD $7 Canada 2 cents per share CFD

More information

Solvency Capital Requirement

Solvency Capital Requirement Solvency Capital Requirement Market Risk Report Pyrford Pyrford Global Total Return (Sterling) Fund Class B Stg Accumulating Page 1 Market Risk - SCR Contribution Sub Module SCR (GBP) % AUM Interest rate

More information

CONDITIONS FOR PRIVATE BANKING AND TREASURY SALES. Valid Since

CONDITIONS FOR PRIVATE BANKING AND TREASURY SALES. Valid Since CONDITIONS FOR PRIVATE BANKING AND TREASURY SALES Valid Since 02.01.2018 Private Banking Version 8 This list of fees is a supplement to the published general list of fees of DenizBank AG. The general list

More information

Deposit Interest Rates

Deposit Interest Rates Deposit Interest Rates Royal Bank of Canada (Channel Islands) Limited ("the Bank") offers fixed term deposits and other interest bearing accounts in most of the major currencies subject to the Bank's General

More information

Deposit Interest Rates

Deposit Interest Rates Deposit Interest Rates Royal Bank of Canada (Channel Islands) Limited ("the Bank") offers fixed term deposits and other interest bearing accounts in most of the major currencies subject to the Bank's General

More information

Deposit Interest Rates

Deposit Interest Rates Deposit Interest Rates Royal Bank of Canada (Channel Islands) Limited ("the Bank") offers fixed term deposits and other interest bearing accounts in most of the major currencies subject to the Bank's General

More information

Deposit Interest Rates

Deposit Interest Rates Deposit Interest Rates Royal Bank of Canada (Channel Islands) Limited ("the Bank") offers fixed term deposits and other interest bearing accounts in most of the major currencies subject to the Bank's General

More information

Deposit Interest Rates

Deposit Interest Rates Deposit Interest Rates Royal Bank of Canada (Channel Islands) Limited ("the Bank") offers fixed term deposits and other interest bearing accounts in most of the major currencies subject to the Bank's General

More information

1. Deposit products Current accounts 01 Attorney, Notary escrow account 01 Deposit accounts in CZK 02 Deposit accounts in foreign currency 02

1. Deposit products Current accounts 01 Attorney, Notary escrow account 01 Deposit accounts in CZK 02 Deposit accounts in foreign currency 02 Strana 2 z 5 1. Deposit products Current accounts 01 Attorney, Notary escrow account 01 Deposit accounts in CZK 02 Deposit accounts in foreign currency 02 2. Loan products Base rates 04 Overdraft and short

More information

Offshore fee schedule

Offshore fee schedule Online Country Exchange name Commission bps (cents) Min commission Austria Wiener Borse Stock Exchange 25 15 EUR Belgium Euronext Brussels 25 15 EUR Denmark OMX Nordic Stock Exchange Copenhagen 25 39 DKK

More information

Important information about your home loan. Bank of New Zealand Home Loan Facility Master Agreement.

Important information about your home loan. Bank of New Zealand Home Loan Facility Master Agreement. Important information about your home loan. Bank of New Zealand Home Loan Facility Master Agreement. 6 June 2015 Contents. Page 1. Definitions 2 2. Introduction 4 3. Agreeing a facility 5 4. Changes to

More information

Global Environment Facility

Global Environment Facility Global Environment Facility LDCF/SCCF Council Meeting November 16, 2007 GEF/LDCF.SCCF.3/Inf.2 November 9, 2007 STATUS REPORT ON THE CLIMATE CHANGE FUNDS AS OF SEPTEMBER 30, 2007 (Prepared by the Trustee)

More information

Credit & Debit Card Payments. Factsheet

Credit & Debit Card Payments. Factsheet Credit & Debit Card Payments Factsheet Contents 1. Card Types...2 2. Supported countries...2 3. First Funding via Credit / Debit Card...3 4. Transaction Currencies...4 5. Currency Conversion...4 6. Restrictions...5

More information

Please read this document carefully.

Please read this document carefully. As of May 30, 2014 Product Description of Foreign Currency Deposits to be confirmed prior to concluding the Customer Agreement on Foreign Currency Savings Deposit for PowerFlex Account (This is the document

More information

HL BANK PRICING SCHEDULE HLBS/OPS/17 1

HL BANK PRICING SCHEDULE HLBS/OPS/17 1 HL BANK PRICING SCHEDULE HLBS/OPS/17 1 PRICING SCHEDULE CURRENT ACCOUNT (SGD) Minimum Balance Fee Personal Account Corporate Account Interest Overdraft Incidental Overdraft S$10 per month if average balance

More information

Rates and Charges. Effective from 19 May 2017

Rates and Charges. Effective from 19 May 2017 Rates and Charges Effective from 19 May 2017 1 2 For full details of when and how interest is payable, please refer to your Account Specific Terms and Conditions. Sterling account interest rates - currently

More information

Thomas Cook Borderless Prepaid Card Terms and Conditions

Thomas Cook Borderless Prepaid Card Terms and Conditions Thomas Cook Borderless Prepaid Card Terms and Conditions Multicurrency MasterCard Thomas Cook Borderless Prepaid Card Terms and Conditions By purchasing the Thomas Cook Borderless Prepaid Card, you confirm

More information

Please read this document carefully.

Please read this document carefully. As of June 16, 2008 Product Description of Foreign Currency Deposits to be confirmed prior to concluding the Customer Agreement on Foreign Currency Savings Deposit for PowerFlex Account (This is the document

More information

Foreign Currency Deposit Accounts. Combined Product Disclosure Statement and Financial Services Guide

Foreign Currency Deposit Accounts. Combined Product Disclosure Statement and Financial Services Guide Foreign Currency Deposit Accounts Combined Product Disclosure Statement and Financial Services Guide BOQ Specialist Foreign Currency Deposit Accounts Combined Product Disclosure Statement and Financial

More information

NEUBERGER BERMAN INVESTMENT FUNDS PLC

NEUBERGER BERMAN INVESTMENT FUNDS PLC The Directors of the Company whose names appear in the Management and Administration section of the Prospectus accept responsibility for the information contained in this document. To the best of the knowledge

More information

IN THE MATTER OF STRONGHOLD INSURANCE COMPANY LIMITED ("STRONGHOLD") (ALSO REFERRED TO AS THE "SCHEME COMPANY") AND ITS SCHEME CREDITORS

IN THE MATTER OF STRONGHOLD INSURANCE COMPANY LIMITED (STRONGHOLD) (ALSO REFERRED TO AS THE SCHEME COMPANY) AND ITS SCHEME CREDITORS VOTING AND PROXY FORM IN THE HIGH COURT OF JUSTICE BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES INSOLVENCY AND COMPANIES LIST (ChD) IN THE MATTER OF STRONGHOLD INSURANCE COMPANY LIMITED ("STRONGHOLD")

More information

OPTIMTRADER COMMISSIONS

OPTIMTRADER COMMISSIONS OPTIMTRADER COMMISSIONS Package BASIC OPTIMUM PREMIUM MINIMUM DEPOSIT 5.000 USD or another currency equivalent 10.000 USD another currency equivalent According to the MONTHLY TRADING VOLUME OptimTrader

More information

Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the

Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the Q1 Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the expenses associated with the management of an actual portfolio.

More information

Foreign Currency Deposit Accounts. Combined Product Disclosure Statement and Financial Services Guide

Foreign Currency Deposit Accounts. Combined Product Disclosure Statement and Financial Services Guide Foreign Currency Deposit Accounts Combined Product Disclosure Statement and Financial Services Guide BOQ Specialist Foreign Currency Deposit Accounts Combined Product Disclosure Statement and Financial

More information

ILLUSTRATIVE SCENARIOS FOR GEF-5 CONTRIBUTIONS

ILLUSTRATIVE SCENARIOS FOR GEF-5 CONTRIBUTIONS Fifth Meeting for the Fifth Replenishment of the GEF Trust Fund March 9-10, 2010 Rome, Italy GEF/R.5/27 February 16, 2010 ILLUSTRATIVE SCENARIOS FOR GEF-5 CONTRIBUTIONS (PREPARED BY THE WORLD BANK AS TRUSTEE)

More information

PIMCO Global Advantage Government Bond Index. Index Specification

PIMCO Global Advantage Government Bond Index. Index Specification PIMCO Global Advantage Government Bond Index January 2011 Contents 1 Index Overview... 3 2 Country Classification and Eligibility Rules... 5 2.1 Regional Classification... 5 2.2 Instrument Categories...

More information

Global Environment Facility

Global Environment Facility Global Environment Facility LDCF/SCCF Council Meeting November 13, 2008 GEF/LDCF.SCCF.5/Inf.2 November 7, 2008 STATUS REPORT ON THE CLIMATE CHANGE FUNDS OCTOBER 2008 (Report from the Trustee) Status of

More information

STANDARD TARIFF SCALE STOCK, ADR, ETF

STANDARD TARIFF SCALE STOCK, ADR, ETF AMERIABANK CJSC 17TR PL 72-20 Page 1/8 ANNEX 1 TO BROKERAGE SERVICE AGREEMENT Brokerage Service Fees for AMERIA GLOBAL TRADING Terminal STANDARD TARIFF SCALE STOCK, ADR, ETF Table 1 USA Canada Mexico Austria

More information

PRIMARY DISCLOSURE STATEMENT (AUTHORISED FINANCIAL ADVISER)

PRIMARY DISCLOSURE STATEMENT (AUTHORISED FINANCIAL ADVISER) PRIMARY DISCLOSURE STATEMENT (AUTHORISED FINANCIAL ADVISER) Name Tony Glucina Registration Number FSP239005 Address Level 38, Vero Centre, 48 Shortland Street, Auckland Trading Name JBWere (NZ) Pty Ltd

More information

Amended HSBC Bank/HSBC Amanah Telegraphic Transfer Love Campaign 2015 ( Promotion ) Terms and Conditions

Amended HSBC Bank/HSBC Amanah Telegraphic Transfer Love Campaign 2015 ( Promotion ) Terms and Conditions Amended HSBC Bank/HSBC Amanah Telegraphic Transfer Love Campaign 2015 ( Promotion ) Terms and Conditions This Amended Terms and Conditions for HSBC Bank/HSBC Amanah Telegraphic Transfer Love Campaign 2015

More information

Listing of bonds. at the Stuttgart Stock Exchange

Listing of bonds. at the Stuttgart Stock Exchange Listing of bonds at the Stuttgart Stock Exchange Agenda 1. Two Market segments for different demands 2. Listing criteria in general 3. Listing Criteria specifically for bonds 4. Trading and settlement

More information

Bank Transfer Load means loading money onto your Westpac Global Currency Card as described in section 5 of the PDS.

Bank Transfer Load means loading money onto your Westpac Global Currency Card as described in section 5 of the PDS. 1. Understanding these Terms and Conditions: By applying for the Westpac Global Currency Card you agree to comply with these Terms and Conditions. Westpac Global Currency Card is issued by Travelex Card

More information

The Luxembourg Fund industry Facts and Figures. 7 October, 2009

The Luxembourg Fund industry Facts and Figures. 7 October, 2009 The Luxembourg Fund industry Facts and Figures 7 October, 2009 AGENDA 1. Worldwide Fund industry 2. European landscape 3. Luxembourg market 4. Luxembourg : hub for cross border distribution Agenda 1. Worldwide

More information

DANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS

DANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS Approved by Management committee of Danske Bank A/S Latvia branch (Meeting No 3/06 from 7 August 06) Effective from 4 of October 06 DANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS. Current

More information

OPTIMTRADER PRICING Premium Pricing Structure

OPTIMTRADER PRICING Premium Pricing Structure OPTIMTRADER PRICING Premium Pricing Structure PREMIUM Pricing Structure is based on monthly active trading volume. Trading with the platform OptimTrader is subject to CM-Equity general terms and conditions.

More information

SGX Market (traded currency in SGD) Contract value Broker Assisted Online Less than or equal to S$50, % 0.275% S$50,001 - S$100K 0.40% 0.

SGX Market (traded currency in SGD) Contract value Broker Assisted Online Less than or equal to S$50, % 0.275% S$50,001 - S$100K 0.40% 0. Commission Rates and Charges Singapore Exchange For stocks listed in SGX: SGX Market (traded currency in SGD) Contract value Less than or equal to S$50,000 0.50% 0.275% S$50,001 - S$100K 0.40% 0.22% More

More information

Vontobel Holding AG Zurich, Switzerland (the "Guarantor") Bank Vontobel Europe AG Munich, Germany (the "Offeror")

Vontobel Holding AG Zurich, Switzerland (the Guarantor) Bank Vontobel Europe AG Munich, Germany (the Offeror) Supplement dated 20 January 2015 pursuant to Section 16 Para. 1 of the German Securities Prospectus Act (Wertpapierprospektgesetz) to the Base Prospectus dated 4 December 2014 for Constant Leverage Certificates

More information

STANDARD TARIFF SCALE

STANDARD TARIFF SCALE AMERIABANK CJSC 17TR PL 72-20 Page 1/7 Approved by Management Board Decision 09/81/16 as of June 03, 2016 Chairman of the Management Board General Director Artak Hanesyan June 06, 2016 ANNEX 1 TO BROKERAGE

More information

Charging structures. Reserve. This document aims to inform you of the Reserve charges and how they change.

Charging structures. Reserve. This document aims to inform you of the Reserve charges and how they change. Reserve Charging structures This document aims to inform you of the Reserve charges and how they change. These charges are correct as at 01 April 2018 for all new policies and the following policy form

More information

The Lombard Loan Your Bridge to Financial Flexibility

The Lombard Loan Your Bridge to Financial Flexibility Your Bridge to Financial Flexibility An Attractive and Flexible Financing Opportunity for You Are you in need of liquidity? Or would you like to exploit an investment opportunity without selling your existing

More information

Loewenstrasse 1 Cours de Rive Zurich 1204 Genève

Loewenstrasse 1 Cours de Rive Zurich 1204 Genève Pestalozzi Attorneys at Law Ltd Pestalozzi Avocats SA Loewenstrasse 1 Cours de Rive 13 8001 Zurich 1204 Genève Switzerland Switzerland Tel: +41 442179111 Tel: +41 229999600 Fax: +41 442179217 Fax: +41

More information

INTERNATIONAL DEVELOPMENT ASSOCIATION BOARD OF GOVERNORS. Resolution No. 211

INTERNATIONAL DEVELOPMENT ASSOCIATION BOARD OF GOVERNORS. Resolution No. 211 Public Disclosure Authorized INTERNATIONAL DEVELOPMENT ASSOCIATION BOARD OF GOVERNORS Resolution No. 211 Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized WHEREAS:

More information

This pricing guide contains a list of charges for the most commonly used products and services offered by our branches in Hong Kong, namely,

This pricing guide contains a list of charges for the most commonly used products and services offered by our branches in Hong Kong, namely, This Pricing Guide is your quick reference to charges for products and services offered by United Overseas Bank (UOB) Hong Kong. This is only applicable to accounts maintained with UOB in the Hong Kong

More information

Please read this document carefully.

Please read this document carefully. As of October 1, 2018 Product Description of Foreign Currency Deposits to be confirmed prior to concluding the Customer Agreement on Foreign Currency Savings Deposit for PowerFlex Account (This is the

More information

SKAGEN Tellus Status Report February 2017

SKAGEN Tellus Status Report February 2017 SKAGEN Tellus Status Report February 2017 Key numbers as of 28 February 2017 EUR, net of fees February QTD 2016 1 years 3 years 5 years Since inception* SKAGEN Tellus 1,6% 0,7% 5,7% 5,5% 5,9% 4,7% 5,4%

More information

Personal Deposit Accounts

Personal Deposit Accounts Personal Deposit Accounts Combined Financial Services Guide and Product Disclosure Statement with Terms and Conditions 26 February 2018 Contents Page No. Product Disclosure Statement 1 Financial Services

More information

Timeframes for Payment Processing for Rabobank business clients. Euro Payments, Euro Direct Debits and World Payments. Invested in each other

Timeframes for Payment Processing for Rabobank business clients. Euro Payments, Euro Direct Debits and World Payments. Invested in each other Timeframes for Payment Processing for Rabobank business clients Euro Payments, Euro Direct Debits and World Payments March 2018 Invested in each other Contents 1 Introduction 3 2 Euro Payments 4 2.1 Making

More information

PowerFlex Account Application and Signature Registration Form and Notification of Person Who Will Conduct Specified Transactions

PowerFlex Account Application and Signature Registration Form and Notification of Person Who Will Conduct Specified Transactions (mm/dd/yyyy) 8 10 8.10 1710103 As of October 1, 2018 Product Description of Foreign Currency Deposits to be confirmed prior to concluding the Customer Agreement on Foreign Currency Savings Deposit for

More information

International payments Tariff for personal customers effective from 1 January 2018

International payments Tariff for personal customers effective from 1 January 2018 International payments Tariff for personal customers effective from 1 January 2018 About the customer tariff This tariff is applicable to international payment services provided via Nordea Danmark, branch

More information

Prefer to receive your dividends in your local currency?

Prefer to receive your dividends in your local currency? Prefer to receive your dividends in your local currency? Link Asset Services can convert your dividend into your local currency and pay them quickly and securely in to your bank account or by sending the

More information

Please read this document carefully.

Please read this document carefully. As of April 20, 2018 Product Description of Foreign Currency Time Deposits to be confirmed prior to concluding the Customer Agreement on Foreign Currency Deposit for PowerFlex Account (This is the pre-contract

More information

COMPOSITE STATEMENT FAX INDEMNITY

COMPOSITE STATEMENT FAX INDEMNITY COMPOSITE STATEMENT 148. The Bank will send to the Account holder each month (or as specified by the Account holder) statements of account showing the transactions and balances in relation to all HSBC

More information

Your home loan. Bank of New Zealand Facility Master Agreement

Your home loan. Bank of New Zealand Facility Master Agreement Your home loan Bank of New Zealand Facility Master Agreement This document includes certain key information that is required to be set out in a Disclosure Statement by the Credit Contracts and Consumer

More information

JPMorgan Diversified Return International Currency Hedged ETF Schedule of Portfolio Investments as of July 31, (Unaudited)

JPMorgan Diversified Return International Currency Hedged ETF Schedule of Portfolio Investments as of July 31, (Unaudited) Schedule of Portfolio Investments as of July 31, 2017 (Unaudited) THE UNAUDITED CERTIFIED MUTUAL FUNDS HOLDINGS LIST ( the List ) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS NOT TO BE REPRODUCED FOR

More information

Scale of Charges Cut-off Times for Processing Payment Orders

Scale of Charges Cut-off Times for Processing Payment Orders Scale of Charges Cut-off Times for Processing Payment Orders EFG Bank AG Singapore Branch #07-00 EFG Bank Building 25 North Bridge Road Singapore 179104 Company/GST Reg. No. T03FC6371J Incorporated in

More information

Detailed Terms and Conditions for Gift Voucher Offer

Detailed Terms and Conditions for Gift Voucher Offer Detailed Terms and Conditions for Gift Voucher Offer Last updated date: 1st November, 2017 These are the terms and conditions governing Get Gift Voucher up to INR 2,000 (two thousand) on your online transaction

More information

Payments via Unitel. Customer tariff effective from 1 October 2018

Payments via Unitel. Customer tariff effective from 1 October 2018 Payments via Unitel Customer tariff effective from 1 October 18 About the customer tariff This tariff contains prices for payments ordered via Unitel. All charges are in Danish kroner. The charges for

More information

Brokerage Commission and Fee Schedule

Brokerage Commission and Fee Schedule Brokerage Commission and Fee Schedule FEES AND COMPENSATION Fidelity brokerage accounts are highly flexible, and our cost structure is flexible as well. Our use of à la carte pricing for many features

More information

INVESTMENT BROKER S DISCLOSURE STATEMENT

INVESTMENT BROKER S DISCLOSURE STATEMENT 18 February 2009 INVESTMENT BROKER S DISCLOSURE STATEMENT KVB Kunlun New Zealand Limited has been operating since 2001. It forms part of the KVB Kunlun Holdings Limited Group of Companies. KVB Kunlun provides

More information

Delivery of payment instructions to STFO. Donna Broughton, Payments Team Manager, Financial Control Finance

Delivery of payment instructions to STFO. Donna Broughton, Payments Team Manager, Financial Control Finance Market Bulletin Ref: Y5118 Title Delivery of payment instructions to STFO Purpose To inform customers of additional data requirements when making payments through STFO and raise awareness of cut off times

More information

The Hongkong and Shanghai Banking Corporation Limited

The Hongkong and Shanghai Banking Corporation Limited The Hongkong and Shanghai Banking Corporation Limited TERMS AND CONDITIONS FOR HSBC INTERNET BANKING IPO NOMINEES SERVICES AND ONLINE IPO LOAN (Applicable to Bond IPO) YOU MUST READ THESE TERMS AND CONDITIONS

More information

First Part General Provisions... 2

First Part General Provisions... 2 General Terms and Conditions of Börse Frankfurt Zertifikate AG for the Trading with Structured Products in the Regulated Unofficial Market on the Frankfurter Wertpapierbörse (FWB) Table of Contents First

More information

Your trading credits can be used towards any of the following commission charges:

Your trading credits can be used towards any of the following commission charges: Rates and charges We aim to provide great value for money, through simple, fair and clear charges, so it s easy to work out what it costs to invest with us. There are no fees to set up an account with

More information

SAMPLE. Your right to cancel. Introduction

SAMPLE. Your right to cancel. Introduction Letter of Offer - Personal Overdraft This is a standard form Letter of Offer for informational purposes only. For details of applicable rates, fees and other terms and conditions that may apply, please

More information

SKAGEN Tellus Status Report December 2015

SKAGEN Tellus Status Report December 2015 Torgeir Høien Lead Manager Jane Tvedt Co-manager SKAGEN Tellus Status Report December 2015 Key numbers as of 31.12.2015 SKAGEN Tellus was down 2.5% in EUR in December. The benchmark dropped 2%. Since inception

More information

BNZ CASH PIE AND BNZ TERM PIE TERMS AND CONDITIONS

BNZ CASH PIE AND BNZ TERM PIE TERMS AND CONDITIONS BNZ CASH PIE AND BNZ TERM PIE TERMS AND CONDITIONS A tax-smart alternative to Bank Deposits. Application form enclosed. 26 November 2018 BNZ Investment Services Limited BNZ Cash PIE and BNZ Term PIE Terms

More information

INDIVIDUAL ACCOUNT. Client Services Agreement. Pacific Financial Derivatives Ltd. Mailing Address: PO Box , Auckland City 1143, New Zealand

INDIVIDUAL ACCOUNT. Client Services Agreement. Pacific Financial Derivatives Ltd. Mailing Address: PO Box , Auckland City 1143, New Zealand INDIVIDUAL ACCOUNT Client Services Agreement Pacific Financial Derivatives Ltd Mailing Address: PO Box 105108, Auckland City 1143, New Zealand Physical Address: Level 8, 12-26 Swanson St, Auckland Central

More information

Industrial and Commercial Bank of China (New Zealand) Limited General Terms and Conditions

Industrial and Commercial Bank of China (New Zealand) Limited General Terms and Conditions Industrial and Commercial Bank of China (New Zealand) Limited General Terms and Conditions Effective 30 June 2015 Page 1 TABLE OF CONTENTS 1. GENERAL INFORMATION 3 2. INTERPRETATION 4 3. ACCOUNTS 6 4.

More information

Foreign Exchange Dealing Terms and Conditions

Foreign Exchange Dealing Terms and Conditions Foreign Exchange Dealing Terms Conditions Effective April 2018 Foreign Exchange Dealing Terms Conditions Please also read the Bank of New Zeal (the 'Bank') Automatic Payments Terms Conditions, Internet

More information

DEALING AND TREASURY SERVICE

DEALING AND TREASURY SERVICE FEE SCHEDULE - STONEHAGE FLEMING DEALING AND TREASURY SERVICE ASSET CLASS Below does not include any third party fees, VAT, stamp duty, taxes or charges FOREIGN EXCHANGE UP TO SPOT Band in GBP % of Spot

More information

Prefer to receive your dividends in your local currency?

Prefer to receive your dividends in your local currency? Prefer to receive your dividends in your local currency? Link Asset Services can convert your dividend into your local currency and pay them quickly and securely in to your bank account or by sending the

More information

1. The last paragraph under the Available Currencies heading is deleted and replaced with:

1. The last paragraph under the Available Currencies heading is deleted and replaced with: Key to the World Currency Card Supplementary Product Disclosure Statement Date prepared: 1 February 2018 ABOUT THIS DOCUMENT This document is a Supplementary Product Disclosure Statement (SPDS) and has

More information

The above addresses are the addresses to which Notices, Letters of Advice and disclosure documents will be sent.

The above addresses are the addresses to which Notices, Letters of Advice and disclosure documents will be sent. Southland Building Society 51 Don Street Invercargill SBS ADVANCE LOAN AGREEMENT (and including key information that is required to be set out in an Initial Disclosure document under Section 17 of the

More information

International payments Tariff for corporate customers effective from 1 October 2018

International payments Tariff for corporate customers effective from 1 October 2018 International payments Tariff for corporate customers effective from 1 October 2018 About the customer tariff This tariff is applicable to international payment services provided via Nordea Danmark, filial

More information

List of Tariffs applicable as of 1 June 2017

List of Tariffs applicable as of 1 June 2017 Patria Finance, a.s., Jungmannova 745/24, 110 00 Prague 1, Czech Republic, ID No. 26455064 Registered with the Commercial Register, Section B, File No. 7215 Maintained by the Municipal Court in Prague

More information

Timeframes for Payment Processing for Rabobank business clients. Euro Payments, Euro Direct Debits and World Payments. Invested in each other

Timeframes for Payment Processing for Rabobank business clients. Euro Payments, Euro Direct Debits and World Payments. Invested in each other Timeframes for Payment Processing for Rabobank business clients Euro Payments, Euro Direct Debits and World Payments March 2019 Invested in each other Contents 1 Introduction 3 2 Euro Payments 5 2.1 Making

More information

Prestigious Wealth Management

Prestigious Wealth Management Prestigious Wealth Management Pricing Guide DEPOSIT & ACCOUNT SERVICES Account Services Singapore Dollar Savings Account Prestigious Wealth Management S$1,000 Account Service Charge S$2 (If monthly average

More information

Green Climate Fund Trust Fund Financial Report as of 31 December 2015

Green Climate Fund Trust Fund Financial Report as of 31 December 2015 Meeting of the Board 8 10 March 2016 Songdo, Incheon, Republic of Korea Provisional agenda item 25 GCF/B.12/Inf.09 4 March 2016 Green Climate Fund Financial Report as of 31 December 2015 Summary The financial

More information

Banking service charges (valid from ) 1 Resident Non-resident Special conditions

Banking service charges (valid from ) 1 Resident Non-resident Special conditions 1 I ACCOUNTS AND ACCOUNT INFORMATION EUR EUR OPENING ACCOUNTS 1. Current account 1.1. private individual free of charge 100 1.2. legal entity free of charge 250 An additional commission of EUR 200 is applied

More information

Successful Applicant(s) (the "Borrower", which expression shall include its successors) of the approved loan will be subjected to these

Successful Applicant(s) (the Borrower, which expression shall include its successors) of the approved loan will be subjected to these TERMS AND CONDITIONS FOR TAX LOAN Successful Applicant(s) (the "Borrower", which expression shall include its successors) of the approved loan will be subjected to these Terms and Conditions: 1. In these

More information

Interest Rates for Deposit Products

Interest Rates for Deposit Products 8, Othonos str. GR 105 57 Athens GCR: 000223001000 www.eurobank.gr Rates for Deposit Products Clarifications: The product interest rates are base rates which can increase or decrease in special circumstances.

More information

$ Citi Global Currency Account

$ Citi Global Currency Account $ Citi Global Currency Account Terms and Conditions Effective 26 March 2018 Issued by Citigroup Pty Limited ABN 88 004 325 080 AFSL No. 238098 1 Contents Information and disclosures 3 About this document

More information

Costs related to Equity Trading

Costs related to Equity Trading Costs related to Equity Trading 1. Overview of costs When you buy or sell shares you pay a fee to DNB. The fee is a transaction cost paid when the trade is settled. 1.1 Brokerage fee for Norwegian Shares

More information

STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND

STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND 23rd /SCCF Council Meeting November 30, 2017 Washington DC GEF/.SCCF.23/Inf.02 November 9, 2017 STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND (Financial Report prepared by the Trustee) Least Developed

More information

SKAGEN Tellus Statusrapport april 2017

SKAGEN Tellus Statusrapport april 2017 SKAGEN Tellus Statusrapport april 2017 Key numbers as of 30 April 2017 (SEK, net of fees) April QTD YTD 1 years 3 years 5 years Since inception* SKAGEN Tellus 0,03% 0,03% 0,24% 9,31% 6,62% 6,06% 5,55%

More information

Tariff of Accounts and Services for Personal Customers

Tariff of Accounts and Services for Personal Customers Tariff of Accounts and Services for Personal Customers This tariff (as may be amended or supplemented from time to time) applies to services provided by the Mainland China branches of the Bank to their

More information

Ian Wootten, Manager Financial Processing & STFO, Financial Control Finance, Risk Management & Operations

Ian Wootten, Manager Financial Processing & STFO, Financial Control Finance, Risk Management & Operations market bulletin Ref: Y4468 Title Purpose Type From Delivery of Instructions to STFO To raise awareness of cut off times and correct procedures for submitting payments to Settlement & Trust Fund Operations

More information

Approved by Management committee of Danske Bank A/S Latvia branch (Meeting No 17/2017 from 24 April 2017) Effective from 1 of July 2017

Approved by Management committee of Danske Bank A/S Latvia branch (Meeting No 17/2017 from 24 April 2017) Effective from 1 of July 2017 Approved by Management committee of Danske Bank A/S Latvia branch (Meeting No 7/207 from 24 April 207) Effective from of July 207 DANSKE BANK A/S LATVIA BRANCH PRICELIST - FOR PRIVATE CUSTOMERS. Account...

More information

Green Climate Fund Trust Fund Financial Report Status as at 31 March

Green Climate Fund Trust Fund Financial Report Status as at 31 March Green Climate Fund Trust Fund Financial Report Status as at 31 March 2014 1 GCF/B.07/Inf.04 01 May 2014 Meeting of the Board 18-21 May 2014 Songdo, Republic of Korea Agenda item 13 1 Reproduced as received

More information

STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND

STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND 25th /SCCF Council Meeting December 20, 2018 Washington DC GEF/.SCCF.25/Inf.02 November 29, 2018 STATUS REPORT FOR THE LEAST DEVELOPED COUNTRIES FUND (Financial Report prepared by the Trustee) Least Developed

More information

SAXO CAPITAL MARKETS UK LTD - EQUITY ACTIVE TRADER Rates and Conditions, valid from 1 July 2015

SAXO CAPITAL MARKETS UK LTD - EQUITY ACTIVE TRADER Rates and Conditions, valid from 1 July 2015 STOCKS & ETFs FLAT FEE THRESHOLD COMMISSION ABOVE MAIN MARKETS FLAT FEE (TRADE SIZE) THRESHOLD NASDAQ, NYSE & NYSE ARCA 1) Stocks 6,000 shares 0.7 cps/share London Stock Exchange 1) Stocks 4.99 GBP 30,000

More information

SKAGEN Tellus Statusrapport maj 2017

SKAGEN Tellus Statusrapport maj 2017 SKAGEN Tellus Statusrapport maj 2017 Key numbers as of 31 May 2017 SEK, net of fees May QTD YTD 1 years 3 years 5 years Since inception* SKAGEN Tellus 0,37 % -1,9% 0,61 % 7,46 % 5,66 % 5,71 % 5,54 % JPM

More information

Your trading credits can be used towards any of the following commission charges:

Your trading credits can be used towards any of the following commission charges: Rates and charges We aim to provide great value for money, through simple, fair and clear charges, so it s easy to work out what it costs to invest with us. There are no fees to set up an account with

More information

BLOOMBERG DOLLAR INDEX 2018 REBALANCE

BLOOMBERG DOLLAR INDEX 2018 REBALANCE BLOOMBERG DOLLAR INDEX 2018 REBALANCE 2018 REBALANCE HIGHLIGHTS Euro maintains largest weight 2018 BBDXY WEIGHTS Euro Canadian dollar largest percentage weight decrease Swiss franc has largest percentage

More information

Operational Efficiency for Offshore RMB

Operational Efficiency for Offshore RMB Operational Efficiency for Offshore RMB Lisa O Connor, SWIFT May 2012 SWIFT s role Facilitate RMB transactions & automation Broaden industry understanding Provide business insights Provide a global network

More information

Credit Cards Conditions of Use

Credit Cards Conditions of Use Credit Cards Conditions of Use Privacy Statement and Consent to Use Your Information 1 February 2018 About these Conditions of Use Your Card Contract comprises: 1. these Conditions of Use; 2. the Credit

More information