SHORT TERM SAVINGS WITH LONG TERM BENEFITS

Size: px
Start display at page:

Download "SHORT TERM SAVINGS WITH LONG TERM BENEFITS"

Transcription

1 Allianz SaverPlus SHORT TERM SAVINGS WITH LONG TERM BENEFITS Benefits at a glance 3 years payment for 20 years coverage 8% guaranteed cash payment for 20 years* Guaranteed maturity benefit of 168% of annual premium** Up to 315% accidental death coverage*** LIMITED TIME ONLY * 8% of annualised premium at the end of each policy year excluding any advance premium. ** 168% of annualised premium excluding any advance premium. *** % of total premiums paid less total guaranteed cash payment paid. For more details, please chat with us via Facebook or visit allianz.com.my or call us at our Allianz contact centre AZ06/18 Allianz Life Insurance Malaysia Berhad ( X) (Licensed under the Financial Services Act 2013 and regulated by Bank Negara Malaysia)

2 LIVE THE LIFE YOU WANT & SAVE FOR A BETTER TOMORROW 8% Guaranteed Cash Payment For 20 Years* Guaranteed Maturity Benefit Of 168% Of Annual Premium** Death Coverage*** 3 Years Payment For 20 Years Coverage Policy Year at the time of Death 1 st and 2 nd Policy Year 3 rd Policy Year onwards Non- Accidental Death Accidental Death 100% 100% 105% 315% # * 8% of annualised premium at the end of each policy year excluding any advance premium. ** 168% of annualised premium excluding any advance premium. *** % of total premiums paid less total guaranteed cash payment paid. # In the event of death caused by accidental causes on or after attaining age 66 nearest birthday on the Policy Anniversary, the claim shall be paid according to the death benefit under death by non-accidental causes.

3 5 POINTS WHY ALLIANZ SAVERPLUS IS FOR YOU Potential to reap higher investment returns Short term commitment with protection coverage for 20 years Long term steady income Guaranteed lump sum payment at maturity Simplified application with only 1 health question Terms and conditions apply Important notes This leaflet is only for illustration purposes. Please refer to the Product Disclosure Sheet, Sales Illustration & Policy Contract for further details & exclusions. We have the right to revise the rates, charges, fee, penalties, terms and conditions. You will be informed in writing of the revision at least three (3) months before renewal.

4 KOMITMEN JANGKA PENDEK DENGAN MANFAAT JANGKA PANJANG Ringkasan manfaat Bayar premium untuk 3 tahun sahaja 8% bayaran tunai terjamin untuk 20 tahun* Manfaat Kematangan Terjamin sebanyak 168% daripada premium tahunan ** Perlindungan Kematian Akibat Kemalangan hingga 315%*** MASA TERHAD * 8% daripada premium tahunan pada setiap akhir tahun polisi tolak sebarang bayaran pendahuluan. ** 168% daripada premium tahunan tolak sebarang bayaran pendahuluan. *** % daripada jumlah premium yang dibayar menolak jumlah bayaran tunai terjamin dibayar. Untuk butiran lanjut, sila hubungi kami melalui Facebook atau layari laman web allianz.com.my atau hubungi pusat hubungan Allianz di AZ06/18 Allianz Life Insurance Malaysia Berhad ( X) (Dilesenkan di bawah Akta Perkhidmatan Kewangan 2013 dan dikawal selia oleh Bank Negara Malaysia )

5 JALANI KEHIDUPAN YANG DIIMPIKAN & MENABUNG UNTUK MASA DEPAN YANG LEBIH BAIK 3 Tahun Bayaran Untuk Perlindungan Selama 20 Tahun 8% Bayaran Tunai Terjamin Untuk 20 Tahun* Manfaat Kematangan Terjamin Sebanyak 168% Daripada Premium Tahunan ** Perlindungan Kematian*** Tahun Polisi Ketika Kematian Tahun polisi pertama dan kedua Tahun polisi ketiga dan seterusnya Kematian Akibat Bukan Kemalangan Kematian Akibat Kemalangan 100% 100% 105% 315% # * 8% daripada premium tahunan pada setiap akhir tahun polisi tolak sebarang bayaran pendahuluan. ** 168% daripada premium tahunan tolak sebarang bayaran pendahuluan. *** % daripada jumlah premium yang dibayar menolak jumlah bayaran tunai terjamin dibayar. # Sekiranya berlaku kematian akibat kemalangan pada atau selepas mencapai umur 66 tahun pada hari jadi terdekat pada Ulang Tahun Polisi, tuntutan akan dibayar mengikut manfaat kematian akibat bukan kemalangan.

6 5 SEBAB MENGAPA ALLIANZ SAVERPLUS ADALAH UNTUK ANDA Potensi untuk memperoleh manfaat pelaburan yang lebih tinggi Komitment jangka pendek untuk perlindungan selama 20 tahun Aliran pendapatan jangka panjang yang mantap Jaminan sekaligus bayaran pada kematangan Permohonan ringkas, hanya 1 soalan kesihatan Tertakluk kepada terma dan syarat Nota penting Risalah ini hanya untuk tujuan ilustrasi. Sila rujuk Lembaran Pendedahan Produk, Illustrasi Jualan & Kontrak Polisi untuk pengecualian & butiran lanjut. Kami berhak mengubah kadar-kadar, caj-caj, yuran-yuran, penalti-penalti, terma-terma dan syarat-syarat. Anda akan dimaklumi secara bertulis tentang perubahan tersebut sekurang-kurangnya tiga (3) bulan sebelum pembaharuan polisi.

7 Allianz SaverPlus 短期儲蓄長期回酬 利益摘要 3 年的支付給於 20 年的保障 20 年的 8% 保證現金支付 * 保證滿期利益是年度保費的 168%** 僅限於有限時間 高達 315% 的意外身故保障 *** * 每年年末保單的 8% 年度保費減除任何預付款 ** 168% 的年度保費減除任何預付款 *** 所繳付保費總額減除已支付的總保證現金的百分比 % 欲知詳情, 請通過 AllianzMalaysia 面子書聊天室聯絡我們或瀏覽 allianz.com.my 或聯絡 Allianz 聯絡中心 AZ06/18 Allianz Life Insurance Malaysia Berhad ( X) ( 在 2013 年金融服务法下持牌经营, 并由大马国家银行监管 )

8 活出你向往的生活並為更美好未來儲蓄 20 年的 8% 保證現金支付 * 保證滿期利益是年度保費的 168%** 死亡保障 *** 3 年的支付給於 20 年的保障 身故時的保單年份 第一及第二年 非意外身故 意外身故 100% 100% 第三年以上 105% 315% # * 每年年末保單的 8% 年度保費減除任何預付款 ** 168% 的年度保費減除任何預付款 *** 所繳付保費總額減除已支付的總保證現金的百分比 % # 如果在 66 歲最接近生日保單週年或之後因意外身故, 索賠將根據非意外身故賠償支付

9 ALLIANZ SAVERPLUS 的五要點 有機會獲得更高投資回酬 短期財務承諾以獲 20 年的保障 長期的穩定收入 保證性的滿期總額支付 只需 1 個健康問題的簡化申請程序 需附合條規 重要聲明 本手冊僅供說明用途, 在此提供的資料或許並不完整 欲知詳情, 請參閱產品披露說明書 (PDS), 銷售說明書 (SI) 及保單契約 我們有權修改利率 費用 收費 條款及其他條件 所有更改將在保單更新至少 3 個月前以書信通知您

Chapter 12 Introduction to Asset Liability Management

Chapter 12 Introduction to Asset Liability Management Chapter 12 Introduction to Asset Liability Management 1 Introduction Bank s structural position depositors borrowers checking accounts saving accounts fixed deposits commercial loans credit-card debt car

More information

1. The Cash Rebate Offer commences on 19 June 2018 and ends on 31 December 2019 (both dates inclusive) (the Cash Rebate Promotion Period ).

1. The Cash Rebate Offer commences on 19 June 2018 and ends on 31 December 2019 (both dates inclusive) (the Cash Rebate Promotion Period ). Terms and Conditions of 1% Cash Rebate Offer ( Cash Rebate Offer ) 1. The Cash Rebate Offer commences on 19 June 2018 and ends on 31 December 2019 (both dates inclusive) (the Cash Rebate Promotion Period

More information

2. 美元兌人民幣 ( 香港 ) 期貨 / 期權的最後結算日為合約月份的第三個星期三 The Final Settlement Day ( FSD ) of CNH Futures/Options is the third Wednesday of the Contract Month.

2. 美元兌人民幣 ( 香港 ) 期貨 / 期權的最後結算日為合約月份的第三個星期三 The Final Settlement Day ( FSD ) of CNH Futures/Options is the third Wednesday of the Contract Month. 美元兌人民幣 ( 香港 ) 期貨 / 期權交易及結算注意事項 : Points to Note of Renminbi (RMB) currency futures/options contract traded in the HKFE USD/CNH futures/options contract ( CNH Futures/Options ) 1. 美元兌人民幣 ( 香港 ) 期貨 / 期權的保證金要求以人民幣計算

More information

Rate card 價格及收費表 FXCM Australia P t y. Limited Please verify all fees and commission charges in the Product Disclosure Statement. 請以產品披露聲明核實所有費用及佣金收費

Rate card 價格及收費表 FXCM Australia P t y. Limited Please verify all fees and commission charges in the Product Disclosure Statement. 請以產品披露聲明核實所有費用及佣金收費 Rate card FXCM Australia P t y. Limited Please verify all fees and commission charges in the Product Disclosure Statement. 請以產品披露聲明核實所有費用及佣金收費 Please note that this rate card and the commission rates set

More information

BASIC FINANCIAL RATIO ANALYSIS AND IMPLICATION

BASIC FINANCIAL RATIO ANALYSIS AND IMPLICATION BASIC FINANCIAL RATIO ANALYSIS AND IMPLICATION Dr. Stacy Wang Assistant Professor Hang Seng University of Hong Kong Hong Kong Institute of Certified Public Accountants, 2018. All rights reserved. 1 Companies

More information

JPMorgan Funds - America Equity Fund

JPMorgan Funds - America Equity Fund Asset Management Company of the Year, Asia 4) The JPMorgan America Equity A (dist) - USD class will be merged into JPM America Equity A (dist) - USD class on 20.05.6 and is no longer available to the public

More information

Deposit Plus. Important Facts. Currency-linked Deposit. Last update date: 18 Dec The Hongkong and Shanghai Banking Corporation Limited

Deposit Plus. Important Facts. Currency-linked Deposit. Last update date: 18 Dec The Hongkong and Shanghai Banking Corporation Limited Important Facts Deposit Plus Currency-Linked Deposit Last update date: 18 Dec 2017 The Hongkong and Shanghai Banking Corporation Limited This is a structured investment product, which is NOT protected

More information

Proposal / Renewal Form for Employees Compensation Insurance (Earnings Rating Basis)

Proposal / Renewal Form for Employees Compensation Insurance (Earnings Rating Basis) Proposal / Renewal Form for Employees Compensation Insurance (Earnings Rating Basis) Employer s Details 1. Name of employer in full (Please provide a copy of valid Business Registration Document) 2. Place

More information

SUN EDUSMART. Give your child a head start in life.

SUN EDUSMART. Give your child a head start in life. SUN EDUSMART Give your child a head start in life. FORWARD Your Life V4 What is Sun EduSmart? As parents, one of the best things you can give your child is a good education. That s why planning ahead with

More information

China Construction Bank (Asia) Personal Overdraft Terms & Conditions (Effective tentatively in the fourth quarter of 2018)

China Construction Bank (Asia) Personal Overdraft Terms & Conditions (Effective tentatively in the fourth quarter of 2018) China Construction Bank (Asia) Personal Overdraft Terms & Conditions (Effective tentatively in the fourth quarter of 2018) 1. Approval of the application for overdraft is contingent upon the credit record

More information

The Hongkong and Shanghai Banking Corporation Limited

The Hongkong and Shanghai Banking Corporation Limited The Hongkong and Shanghai Banking Corporation Limited PERSONAL LOAN PLAN TERMS AND CONDITIONS Personal Instalment Loan Terms and Conditions If we approve your application for a Personal Instalment Loan

More information

LIVING CARE. Critical Illness Insurance

LIVING CARE. Critical Illness Insurance LIVING CARE Critical Illness Insurance PREMIUM TABLE ANNUAL PREMIUM (RM) (excluding Service Tax and Stamp Duty)/ SUM INSURED (RM) Attained Age 50,000 100,000 150,000 200,000 250,000 (Next Birthday) Male

More information

13.3 Preparation of financial statements for limited companies ( 編製有限公司的財務報表 )

13.3 Preparation of financial statements for limited companies ( 編製有限公司的財務報表 ) Chapter 13 Regulatory Framework of Accounting in Hong Kong and Financial Statements for Limited Companies ( 香港的會計監管架構和有限公司的財務報表 ) 13.3 Preparation of financial statements for limited companies ( 編製有限公司的財務報表

More information

13 The Company reserves the right to revise the SMS Addendum at any time by giving notice to the Customer. 本公司保留隨時修改股票分期計劃補充協議的權利並會通知客戶有關修改

13 The Company reserves the right to revise the SMS Addendum at any time by giving notice to the Customer. 本公司保留隨時修改股票分期計劃補充協議的權利並會通知客戶有關修改 Customer s Name 客戶名稱.. Account No 帳戶號碼.. Phillip Securities (Hong Kong) Limited 輝立証券 ( 香港 ) 有限公司 Share Mortgage Scheme Addendum ( SMS Addendum ) 股票按揭分期計劃補充協議 (" 股票分期計劃補充協議 ") Between 由以下各方訂立 (1) Phillip

More information

Fidelity Funds American Diversified Fund

Fidelity Funds American Diversified Fund 47160_Feb19.pdf Fidelity Funds American Diversified Fund 28 February 2019 2 28 This fund invests primarily in US equity securities of small, medium and large capitalised companies. The fund is subject

More information

HOW TO IMPROVE YOUR CASHFLOW 如何改善你的現金流 A GUIdE TO FACTORING

HOW TO IMPROVE YOUR CASHFLOW 如何改善你的現金流 A GUIdE TO FACTORING HOW TO IMPROVE YOUR CASHFLOW 如何改善你的現金流 A GUIdE TO FACTORING 應收帳融資指南 WE BELIEVE IN YOUR BUSINESS MANPOWER SUPPLY CONSTRUCTION MARINE & OFFSHORE FACTORING EXPLAINED 應收帳融資是什麼 Managing cashflow is essential

More information

March 年 3 月 PAST 10 YEARS PERFORMANCE INFORMATION FOR AB HK DOMICILED FUNDS 聯博香港註冊基金的過往 10 年表現信息

March 年 3 月 PAST 10 YEARS PERFORMANCE INFORMATION FOR AB HK DOMICILED FUNDS 聯博香港註冊基金的過往 10 年表現信息 March 2016 2016 年 3 月 PAST 10 YEARS PERFORMANCE INFORMATION FOR AB HK DOMICILED FUNDS 聯博香港註冊基金的過往 10 年表現信息 Important Information 重要資料 This document is compiled for investor s information only, and this

More information

PRACTICE NOTE 850 REVIEW OF FLAG DAY ACCOUNTS

PRACTICE NOTE 850 REVIEW OF FLAG DAY ACCOUNTS PRACTICE NOTE 850 REVIEW OF FLAG DAY ACCOUNTS PN 850 (September 04) (Issued August 1999; revised January 2000 and September 2004 (name change)) Contents Paragraphs Introduction 1-7 Engagement letters 8-15

More information

台新國際商業銀行香港分行 Taishin International Bank, Hong Kong Branch 網上銀行服務變更申請表格 Internet Banking Amendment/Cancellation Request form

台新國際商業銀行香港分行 Taishin International Bank, Hong Kong Branch 網上銀行服務變更申請表格 Internet Banking Amendment/Cancellation Request form 台新國際商業銀行香港分行 Taishin International Bank, Hong Kong Branch 網上銀行服務變更申請表格 Internet Banking Amendment/Cancellation Request form 申請日期 : 年月日 Date 用戶代碼 : System ID: 注意 Note: 1. 請用英文正楷填寫, 並在適當空格內加上 號 Please complete

More information

AMENDMENTS TO GEM LISTING RULES

AMENDMENTS TO GEM LISTING RULES AMENDMENTS TO GEM LISTING RULES Chapter 1 GENERAL INTERPRETATION 1.01 Throughout these Rules, the following terms, except where the context otherwise requires, have the following meanings: GEM the Growth

More information

THE PORTABLE & PERSONAL MEDICAL PLAN

THE PORTABLE & PERSONAL MEDICAL PLAN A-Health Maximiser THE PORTABLE & PERSONAL MEDICAL HEALTH PLAN Maximising your protection to meet your changing needs Purchase with AIA PRS to fund your retirement years aia.com.my A-Health Maximiser Maximising

More information

GREAT WEALTH ACCUMULATOR 3

GREAT WEALTH ACCUMULATOR 3 Wealth Accumulation GREAT WEALTH ACCUMULATOR 3 Your first step towards smart wealth accumulation Langkah pertama anda untuk mengumpul kekayaan dengan bijak Benefits at a glance Your first step towards

More information

每日最高扣賬金額 Daily debit limit

每日最高扣賬金額 Daily debit limit 請在適當的方格內加上 號 Please place in the appropriate Box 公司資料 COMPANY INFORMATION 企業網上銀行服務相關公司登記表 Commercial Internet Banking Service Related Company Registration Form 1. 基本公司資料 Primary Company Information 公司名稱

More information

Financial Statements & Report of the Auditors

Financial Statements & Report of the Auditors Financial Statements & Report of the Auditors Significant Accounting Policies =!"# a Statement of compliance These accounts have been prepared in accordance with all applicable Statements of Standard Accounting

More information

PRODUCT KEY FACTS Treasure Master Plus April 2015

PRODUCT KEY FACTS Treasure Master Plus April 2015 PRODUCT KEY FACTS Treasure Master Plus April 2015 AIA International Limited (Incorporated in Bermuda with limited liability) This statement provides you with key information about this product. This statement

More information

Fidelity Funds United Kingdom Fund

Fidelity Funds United Kingdom Fund 44012_Feb19.pdf Fidelity Funds United Kingdom Fund 28 February 2019 2 28 This fund invests primarily in United Kingdom equity securities. The fund is subject to investment, equities and foreign currency

More information

TheOne. Underwritten by. Appointed Insurance Agency (PMH055BE1407)

TheOne. Underwritten by. Appointed Insurance Agency (PMH055BE1407) TheOne (PMH055BE1407) Appointed Insurance Agency Underwritten by TheOne Medical Solution Health is the most precious treasure in life which deserves the greatest defence. Your current peaceful, enjoyable

More information

3. Past Dividend Payout Record

3. Past Dividend Payout Record 1Q 2018 OVERALL MORNINGSTAR RATING TM Class AUSD Shares * AB AMERICAN GROWTH PORTFOLIO Rated against 463 funds in the U.S. Large-Cap Growth Equity Category, based on risk-adjusted returns. Important Information

More information

ALLIANZ GLOBAL INVESTORS FUND Société d Investissement à Capital Variable (the Company ) Notice to Shareholders

ALLIANZ GLOBAL INVESTORS FUND Société d Investissement à Capital Variable (the Company ) Notice to Shareholders ALLIANZ GLOBAL INVESTORS FUND Société d Investissement à Capital Variable (the Company ) Notice to Shareholders Date: 7 January 2019 IMPORTANT: This notice is important and requires your immediate attention.

More information

Life Insurance. SeniorGold. Shielding You In Your Golden Years

Life Insurance. SeniorGold. Shielding You In Your Golden Years Life Insurance SeniorGold Shielding You In Your Golden Years 1 SeniorGold You ve worked hard all your life to create a comfortable life for your loved ones. Now, it s your turn to sit back and enjoy the

More information

Fidelity Funds Malaysia Fund

Fidelity Funds Malaysia Fund 44002_Jan19.pdf Fidelity Funds Malaysia Fund 31 January 2019 1 31 This fund invests primarily in Malaysian equity securities. The fund is subject to investment, equities, foreign currency risk and risk

More information

2%. We call this conversion rate the American Express Exchange

2%. We call this conversion rate the American Express Exchange American Express Corporate Card, American Express Gold Corporate Card, American Express Cathay Pacific Corporate Card and American Express Cathay Pacific Elite Corporate Card Cardmember Agreement (HKD)

More information

Accident Protect/ Hospital Income Protect Claims Procedure 意外保障 / 住院入息索償程序

Accident Protect/ Hospital Income Protect Claims Procedure 意外保障 / 住院入息索償程序 Accident Protect/ Hospital Income Protect Claims Procedure 意外保障 / 住院入息索償程序 1. Submit your claims within 30 days from the date of sickness/ accident 於疾病 / 意外後 30 天內提交索償申請 - Please complete the following

More information

Fidelity Funds - Emerging Asia Fund 富達基金-新興亞洲基金

Fidelity Funds - Emerging Asia Fund 富達基金-新興亞洲基金 富達基金-新興亞洲基金 As of 截至 29/2/2012 HHHH Morningstar Rating TM 晨星星號評級 For Fidelity Funds, please note: Fidelity Funds is an umbrella fund with funds investing in equities, debt, money market securities and/or

More information

Bancassurance Service Guide

Bancassurance Service Guide Bancassurance Service Guide WHAT SERVICES CAN YOU EXPECT FROM OUR PERSONAL BANKERS/ BANK REPRESENTATIVES? Our Bank offers Tokio Marine Life s insurance products through RHB Bank Berhad branches. If you

More information

Date*: HSBC Finance Corporation Issue of USD 2,938,669, per cent Fixed Rate Notes due January 2021 WARNING

Date*: HSBC Finance Corporation Issue of USD 2,938,669, per cent Fixed Rate Notes due January 2021 WARNING Date*: HSBC Finance Corporation Issue of USD 2,938,669,000 6.676 per cent Fixed Rate Notes due January 2021 Important Risk Warning: This is an investment product. The investment decision is yours but you

More information

DIS Disclosure and Business Rules (Effective Date is 1 April 2017)

DIS Disclosure and Business Rules (Effective Date is 1 April 2017) This page contains the Default Investment Strategy (DIS) Disclosure and Business Rules which forms part of the form. Member should read the contents in detail before completing the form. Default Option

More information

JPMorgan Funds - Emerging Europe, Middle East and Africa Equity Fund SICAV Range

JPMorgan Funds - Emerging Europe, Middle East and Africa Equity Fund SICAV Range The Asset Triple A Awards Asset Management Company of the Year, Asia - Overall 4) This is the last issue of this report. For Hong Kong Investors only JPMorgan Funds - Emerging Europe, Middle East and Africa

More information

HK$50,000 (or its equivalent in other currencies, subject to the minimum deposit amount of the respective currency) 1 week 3 months

HK$50,000 (or its equivalent in other currencies, subject to the minimum deposit amount of the respective currency) 1 week 3 months Important Facts Deposit Plus Currency-Linked Deposit Last update date: 14 January 2014 The Hongkong and Shanghai Corporation Limited This is a structured investment product, which is NOT protected by the

More information

promedico Medical Insurance Plan Member Booklet

promedico Medical Insurance Plan Member Booklet promedico Medical Insurance Plan Member Booklet www.libertyinsurance.com.hk F O R E W O R D Dear Insured Member, Thank you for choosing Liberty International Insurance Ltd as your health insurance provider.

More information

DIS Disclosure and Business Rules (Effective Date is 1 April 2017)

DIS Disclosure and Business Rules (Effective Date is 1 April 2017) This page contains the Default Investment Strategy (DIS) Disclosure and Business Rules which forms part of the form. Member should read the contents in detail before completing the form. Default Option

More information

Notification Letter under Personal Information Protection Act

Notification Letter under Personal Information Protection Act Notification Letter under Personal Information Protection Act Lexcel Partners IP Co., Ltd., hereby notifies you of the following according to Articles 8, 19 and 21 of the Personal Information Protection

More information

Issuer Guarantor Important Risk Warning:

Issuer Guarantor Important Risk Warning: Date*: Sun Hung Kai Properties (Capital Market) Limited (the Issuer ) Issue of HKD198,000,000 3.875 per cent. Fixed Rate Notes due September 2019 guaranteed by Sun Hung Kai Properties Limited (the Guarantor

More information

BCT (MPF) Pro Choice / BCT (MPF) Industry Choice FORM: RFT (MEM)

BCT (MPF) Pro Choice / BCT (MPF) Industry Choice FORM: RFT (MEM) BCT (MPF) Pro Choice / BCT (MPF) Industry Choice BCT / BCT Request for Fund Transfer Form (for self-employed person, personal account holder or employee ceasing employment) Sections 145, 146, 147, 148

More information

FOR IMMEDIATE RELEASE

FOR IMMEDIATE RELEASE FOR IMMEDIATE RELEASE Contact: Aaron Chang, Director, Planning Division +886-3-5751888 ext 28200 aaronchang@kyec.com.tw Jamie Kan, IR Manager, Public Affairs Dept. +886-3-5751888 ext. 28230 mhkan@kyec.com.tw

More information

GREAT RETIREMENT PLAN

GREAT RETIREMENT PLAN Retirement GREAT RETIREMENT PLAN Live your golden years with financial ease Jalani usia emas anda dengan pengurusan kewangan yang mudah Benefits at a glance Live your golden years with financial ease Everyone

More information

Phillip Securities (Hong Kong) Limited. Share Mortgage Scheme Addendum ( SMS Addendum ) 股票按揭分期計劃補充協議 (" 股票分期計劃補充協議 ")

Phillip Securities (Hong Kong) Limited. Share Mortgage Scheme Addendum ( SMS Addendum ) 股票按揭分期計劃補充協議 ( 股票分期計劃補充協議 ) Customer s Name 客戶名稱.. Account No 帳戶號碼.. Phillip Securities (Hong Kong) Limited 輝立証券 ( 香港 ) 有限公司 Share Mortgage Scheme Addendum ( SMS Addendum ) 股票按揭分期計劃補充協議 (" 股票分期計劃補充協議 ") Between 由以下各方訂立 (1) Phillip

More information

SinoPac Holdings. CEO Forum by HSBC. March 11 th, 2013

SinoPac Holdings. CEO Forum by HSBC. March 11 th, 2013 SinoPac Holdings CEO Forum by HSBC March 11 th, 2013 Disclaimer This presentation and the presentation materials distributed herewith may include forward-looking statements. 2012/3Q financial data are

More information

SUBSCRIPTION FORM 認購表. Dealing fee 另行支付之申購手續費. Name 姓名 ( 請註明幣別 ) Contact Address 通訊地址. Telephone No. 電話號碼. Fax No. 傳真號碼. address 電郵地址

SUBSCRIPTION FORM 認購表. Dealing fee 另行支付之申購手續費. Name 姓名 ( 請註明幣別 ) Contact Address 通訊地址. Telephone No. 電話號碼. Fax No. 傳真號碼.  address 電郵地址 FORMOSA ASIA OPPORTUNITY LIMITED ( 本基金 ) c/o HSBC Institutional Trust Services (Asia) Limited (the Services Provider ) 17/F, Tower 2 & 3, HSBC Centre 1 Sham Mong Road Subscription value on Kowloon, Hong

More information

Fidelity Funds Fidelity Target 2020 Fund 2020

Fidelity Funds Fidelity Target 2020 Fund 2020 40472_Jan19.pdf Fidelity Funds Fidelity Target 2020 Fund 2020 31 January 2019 1 31 This fund will typically invests in equities, bonds, interest bearing debt securities and money market securities throughout

More information

SinoPac Holdings. Non-deal Roadshow by Credit Suisse

SinoPac Holdings. Non-deal Roadshow by Credit Suisse SinoPac Holdings Non-deal Roadshow by Credit Suisse 2012.05.09-11 Disclaimer This presentation and the presentation materials distributed herewith may include forward-looking statements. 2011Q4 financial

More information

中国东方航空股份有限公司 China Eastern Airlines Corporation Limited

中国东方航空股份有限公司 China Eastern Airlines Corporation Limited 中国东方航空股份有限公司 China Eastern Airlines Corporation Limited 股东提名董事候选人程序说明 Procedures for Shareholders to Nominate Director Candidates 第一章总则 Chapter One General Provisions 第一条根据 中华人民共和国公司法 上市公司治理准则 公司章程 关于在上市公司建立独立董事制度的指导意见

More information

Save for the future and be rewarded in the present

Save for the future and be rewarded in the present Save for the future and be rewarded in the present Menabung untuk masa depan dan mendapat ganjaran sekarang 为您的将来储蓄并在当下获得奖励 Allianz Life Insurance Malaysia Berhad (0448-X) Wouldn t you like to be rewarded

More information

FATCA Declaration for Non Profit Organisations 適用於非牟利機構的 FATCA 聲明

FATCA Declaration for Non Profit Organisations 適用於非牟利機構的 FATCA 聲明 FATCA Declaration for Non Profit Organisations 適用於非牟利機構的 FATCA 聲明 Bank use only 銀行專用 Customer Number 客戶編號 Certificate of Incorporation (C)/Business Registration Certificate (B)/Other (X) Customer Name

More information

花旗銀行 收費簡介. Citibank Service Fees

花旗銀行 收費簡介. Citibank Service Fees 花旗銀行 簡介 Citibank Service Index 目錄 理財 每月費用 存款費用 Monthly Fee Deposit Service Fee 支票服務費用 按揭貸款戶口 Mortgage Loan Account Fee 匯款服務費用 Remittance Fee ATM Card服務費 ATM Card Service Fee 保管箱 Safe Deposit Box Fee 其他手續費

More information

Life Insurance. Super Fortune Plan. Your Fortune Is In Your Hand

Life Insurance. Super Fortune Plan. Your Fortune Is In Your Hand Life Insurance Super Fortune Plan Your Fortune Is In Your Hand Super Fortune Plan Important Message... Zurich s Super Fortune Plan guarantees you: Annual Cash Payment Lump Sum Cash at Maturity Flexible

More information

First State Global Umbrella Fund Plc Shareholder Notice

First State Global Umbrella Fund Plc Shareholder Notice FIL Investment Management (Hong Kong) Limited Level 21, Two Pacific Place, 88 Queensway Admiralty, Hong Kong Tel: (852) 2629 2800 Fax: (852) 2629 6088 14 November 2017 First State Global Umbrella Fund

More information

按揭保險計劃按揭保險計劃 按揭貸款申請表按揭貸款申請表 APPLICATION FORM FOR COVER IN RESPECT OF A MORTGAGE LOAN UNDER THE MORTGAGE INSURANCE PROGRAMME

按揭保險計劃按揭保險計劃 按揭貸款申請表按揭貸款申請表 APPLICATION FORM FOR COVER IN RESPECT OF A MORTGAGE LOAN UNDER THE MORTGAGE INSURANCE PROGRAMME 按揭保險計劃按揭保險計劃 按揭貸款申請表按揭貸款申請表 APPLICATION FORM FOR COVER IN RESPECT OF A MORTGAGE LOAN UNDER THE MORTGAGE INSURANCE PROGRAMME Form MI402(O) Applicant(s) (the Applicant ) who is/are the intending mortgagor(s)

More information

工程系網站 (

工程系網站 ( 香港專業教育學院 ( 摩理臣山 ) 申請豁免修讀單元須知 (2017/1 /18 學年 ) 索取表格學生電郵系統 (https://webmail.vtc.edu.hk) 申請日期 2017 年 9 月 1 日至 15 日 星期一至五 遞交表格時間上午 8 時 30 分至晚上 7 時 30 分 ( 下午 12 時 30 分至 1 時 30 分除外 ) 遞交表格地點 查詢電話 工程系 (417 室 )

More information

2018 年第二季業績報告. Aug. 2018

2018 年第二季業績報告. Aug. 2018 218 年第二季業績報告 Aug. 218 目錄 1. 財務資訊 2. 產業近況 3. 產業展望 4. 生產狀況 5. 擴建計畫 2 財務資訊 ( 單位 : 百萬元 ) 2Q18 1Q18 QoQ 1H218 1H217 YoY 營業收入 192,328 182,76 5.6% 374,44 33,43 23.4% 營業利益 28,666 22,45 3.% 5,711 42,743 18.6% 淨利

More information

谷文達 (1955 年生 ) 書法 文嘉詩意

谷文達 (1955 年生 ) 書法 文嘉詩意 819 GU WENDA (B. 1955) Calligraphy - Poem by Wen Zhengming Scroll, mounted and framed Ink on paper 68.4 x 135 cm. (26 x 53 in.) Executed in 1983 HK$150,000-200,000 US$20,000-26,000 PROVENANCE The Origo

More information

Apartment and Condominium Insurance Package

Apartment and Condominium Insurance Package Apartment and Condominium Insurance Package APARTMENT AND CONDOMINIUM INSURANCE PACKAGE Anything can happen at any time. Protect the property under your management and get covered with our Apartment and

More information

Date*: HSBC Bank plc Issue of A$1,000,000, per cent Fixed Rate Note due March 2015

Date*: HSBC Bank plc Issue of A$1,000,000, per cent Fixed Rate Note due March 2015 Date*: HSBC Bank plc Issue of A$1,000,000,000 6.75 per cent Fixed Rate Note due March 2015 Important Risk Warning: This is an investment product. The investment decision is yours but you should not invest

More information

PRODUCT KEY FACTS. Fidelity Funds - China High Yield Fund. FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019

PRODUCT KEY FACTS. Fidelity Funds - China High Yield Fund. FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019 PRODUCT KEY FACTS FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019 This statement provides you with key information about this product. This statement is part of the Hong

More information

DIS Disclosure and Business Rules (Effective Date is 1 April 2017)

DIS Disclosure and Business Rules (Effective Date is 1 April 2017) This page contains the Default Investment Strategy (DIS) Disclosure and Business Rules which forms part of the form. Member should read the contents in detail before completing the form. Default Option

More information

PRODUCT KEY FACTS. Fidelity Funds - Asian High Yield Fund. FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019

PRODUCT KEY FACTS. Fidelity Funds - Asian High Yield Fund. FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019 PRODUCT KEY FACTS Fidelity Funds - Asian High Yield Fund FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019 Quick facts Management Company: Investment Manager: Investment Advisor:

More information

HSBC Global Investment Funds - Emerging Wealth

HSBC Global Investment Funds - Emerging Wealth HSBC Global Investment Funds - Emerging Wealth H Share Class AD 28 Feb 2019 AD 28 Feb 2019 Risk Disclosure The Fund invests mainly in equities. The Fund is subject to the emerging market risk and concentration

More information

Important Risk Warning: WARNING

Important Risk Warning: WARNING Date*: The Hong Kong Special Administrative Region Government (the "Hong Kong Government") for the account of the Exchange Fund (the Issuer ) Issue of HKD 800,000,000 1.61 per cent Fixed Rate Note due

More information

永豐商業銀行股份有限公司 ( 香港分行 ) 代理申購證券總約定書 修訂條文對照表 ( 生效日 2017 年 6 月 9 日 ) ( 請留意, 總約定書英文版才具法律效力及應以英文版本爲準, 中文翻譯僅作參考 )

永豐商業銀行股份有限公司 ( 香港分行 ) 代理申購證券總約定書 修訂條文對照表 ( 生效日 2017 年 6 月 9 日 ) ( 請留意, 總約定書英文版才具法律效力及應以英文版本爲準, 中文翻譯僅作參考 ) 永豐商業銀行股份有限公司 ( 香港分行 ) 代理申購證券總約定書 修訂條文對照表 ( 生效日 2017 年 6 月 9 日 ) ( 請留意, 總約定書英文版才具法律效力及應以英文版本爲準, 中文翻譯僅作參考 ) 章 / 條 修正條文 現行條文 說明 Clause 1 (Definitions and Constructions) New definition added: "Financial Product"

More information

Chapter Five Consumer Welfare and Policy Analysis

Chapter Five Consumer Welfare and Policy Analysis Chapter Five Consumer Welfare and Policy Analysis 2008 Pearson Addison Wesley. All rights reserved 每月補助 1 萬 5 上班族考慮生小孩 2010 年 10 月 17 日壹蘋果 yes123 求職網問卷調查 3630 名上班族, 八成表示不會因現有政府 獎勵制度而生子或多生, 近兩成不打算生養 錢不夠

More information

其他帳戶持有人 ( 如適用 ) Particulars of the Co-Applicant (If any)

其他帳戶持有人 ( 如適用 ) Particulars of the Co-Applicant (If any) 帳戶號碼 : Account No. 史考特證券 ( 香港 ) 有限公司 Scottrade (Hong Kong) Limited 證監會第一類受規管活動的持牌法團 ( 中央編號 :AYH939) SFC licensed corporation in respect of Type 1 regulated activity (CE No.: AYH939) 香港中環德輔道中 68 號萬宜大廈 7

More information

HSBC Global Investment Funds - BRIC Equity

HSBC Global Investment Funds - BRIC Equity HSBC Global Investment Funds - BRIC Equity H Share Class AC 28 Feb 2019 AC 28 Feb 2019 Risk Disclosure The Fund invests mainly in Brazilian, Russian, Indian and Chinese equities. The Fund is subject to

More information

Fubon Securities (Hong Kong) Limited 富邦證券 ( 香港 ) 有限公司

Fubon Securities (Hong Kong) Limited 富邦證券 ( 香港 ) 有限公司 A/C No. 帳戶號碼 Fubon Securities (Hong Kong) Limited 富邦證券 ( 香港 ) 有限公司 ACCOUNT OPENING FORM (Individual/Joint Account) 開戶表格 ( 個人 / 聯名帳戶 ) Exchange Participant of The Hong Kong Exchanges and Clearing Limited.

More information

Date*: National Australia Bank Limited (the Issuer ) Issue of AUD 325,000,000 4 per cent. Fixed Rate Notes due May 2018

Date*: National Australia Bank Limited (the Issuer ) Issue of AUD 325,000,000 4 per cent. Fixed Rate Notes due May 2018 Date*: National Australia Bank Limited (the Issuer ) Issue of AUD 325,000,000 4 per cent. Fixed Rate Notes due May 2018 Important Risk Warning: This is an investment product. The investment decision is

More information

1. Auto Payroll Terms and Conditions apply. Please contact our branch staff for full details.

1. Auto Payroll Terms and Conditions apply. Please contact our branch staff for full details. 2013 Employee Benefit Scheme Terms and Conditions: The offers are valid until 30 th June, 2013 (the Promotional Period ), unless otherwise specified. 1. Auto Payroll Terms and Conditions apply. Please

More information

2015年度审计报告及财务报表 02 03

2015年度审计报告及财务报表 02 03 2015年度审计报告及财务报表 02 03 2015 年度审计报告及财务报表 04 05 资产负债表 单位 : 中国石化财务有限责任公司 金额单位 : 元 资产行次 2015-12-31 2014-12-31 负债及所有者权益行次 2015-12-31 2014-12-31 资产 : 1 负债 : 52 现金 2 200,861.73 192,601.71 拆入资金 53 10,000,000,000.00

More information

HSBC Global Investment Funds - Global Equity Volatility Focused

HSBC Global Investment Funds - Global Equity Volatility Focused HSBC Global Investment Funds - Global Equity Volatility Focused H Share Class AM3O 28 Feb 2019 AM3O 28 Feb 2019 Risk Disclosure The Fund invests mainly in global equities. The Fund is subject to the risks

More information

AGREEMENT FOR SECURITIES MARGIN TRADING Version Series Number: M THIS AGREEMENT is made the day of 20

AGREEMENT FOR SECURITIES MARGIN TRADING Version Series Number: M THIS AGREEMENT is made the day of 20 AGREEMENT FOR SECURITIES MARGIN TRADING Version Series Number: M201012 THIS AGREEMENT is made the day of 20 BETWEEN (A) (B) GUOTAI JUNAN SECURITIES (HONG KONG) LIMITED whose registered office is at 27th

More information

Method of payment form 付款表格

Method of payment form 付款表格 Zurich International Life Limited 蘇黎世國際人壽保險有限公司 Method of payment form 付款表格 Completing this form 填寫本表格 Use blue or black ink and write clearly in CAPITAL letters. Please complete the form in English. If

More information

FIL Fund Management Limited (Bermuda, internal delegation) Investment Advisor:

FIL Fund Management Limited (Bermuda, internal delegation) Investment Advisor: PRODUCT KEY FACTS Fidelity Funds - Global Bond Fund FIL Investment Management (Luxembourg) S.A. (as Management Company) March 2019 This statement provides you with key information about this product. This

More information

' HONG KONG PRIVATE LIMITED COMPANY INCORPORATION CRAZY SALE 2018 : 12/09/ /10/2018

' HONG KONG PRIVATE LIMITED COMPANY INCORPORATION CRAZY SALE 2018 : 12/09/ /10/2018 ' HONG KONG PRIVATE LIMITED COMPANY INCORPORATION HK$ 6,130 (US$ 796) BASIC FULL PACKAGE CREATION & 1 YEAR SERVICES + CORPORATE BANK ACCOUNT OPENING APPOINTMENT CRAZY SALE 2018 : 12/09/2018-08/10/2018

More information

HK$ 10,760 (US$ 1,398)

HK$ 10,760 (US$ 1,398) ' SHELF READY MADE HONG KONG PRIVATE LIMITED COMPANY BUYING HK$ 10,760 (US$ 1,398) BASIC FULL PACKAGE & 1 YEAR SERVICES HONG KONG SHELF READY MADE PRIVATE LIMITED COMPANY LESS THAN 3 MONTHS OLD HONG KONG

More information

跨境人民币指数 (BOC CRI Monthly)

跨境人民币指数 (BOC CRI Monthly) 跨境人民币指数 (BOC CRI Monthly) 2016 年 12 月份 CRI 指数 CRI for Dec 2016 概要 中國銀行發佈 2016 年 12 月跨境人民幣指數 (CRI) 結果顯示,12 月份 CRI 指數為 229 點, 較上月下降 22 點, 較 2015 年末下降 47 點 2016 年 12 月份, 人民幣在跨境貨 物貿易結算中的使用比例較 11 月份明顯下 降 ;

More information

Super Protector & Super Protector Plus

Super Protector & Super Protector Plus Life Insurance Super Protector & Super Protector Plus Protects You And Your Loved Ones At A Very Affordable Premium Super Protector & Super Protector Plus Protects you and your loved ones at a very affordable

More information

HK$ 9,920 (US$ 1,289)

HK$ 9,920 (US$ 1,289) ' HONG KONG PRIVATE LIMITED COMPANY INCORPORATION HK$ 9,920 (US$ 1,289) EXPRESS FULL PACKAGE CREATION & 1 YEAR SERVICES HONG KONG PRIVATE LIMITED COMPANY INCORPORATION IN 4 HOURS HONG KONG LIMITED COMPANY

More information

Funds with an asset allocation primarily in regional debt securities (including both public and private debts) 資產主要分配於地區性債務證券 ( 包括公眾及私人債務 ) 之基金

Funds with an asset allocation primarily in regional debt securities (including both public and private debts) 資產主要分配於地區性債務證券 ( 包括公眾及私人債務 ) 之基金 Fund Investment Services 2019 Issue 1 Important notice 重要通知 Investment involves risks. The price of units may go down as well as up as the investments of a fund are subject to the market fluctuations and

More information

AMCO UNITED HOLDING LIMITED

AMCO UNITED HOLDING LIMITED AMCO UNITED HOLDING LIMITED (Incorporated in Bermuda with limited liability) 於百慕達註冊成立之有限公司 (Stock Code 股份代號 : 630) Interim Report 2016 中期報告 * For identification purposes only 僅供識別 Contents Page Management

More information

BOC Express Cash Instalment Loan / Revolving Credit Application Form

BOC Express Cash Instalment Loan / Revolving Credit Application Form BOC Express Cash Instalment Loan / Revolving Credit Application Form Please complete this form in English & in BLOCK Letters and where necessary, put a in the appropriate box. CRC 93 CIN information: Without

More information

PRODUCT KEY FACTS. Fidelity Funds - Asia Focus Fund. What is this product? Objectives and investment policy

PRODUCT KEY FACTS. Fidelity Funds - Asia Focus Fund. What is this product? Objectives and investment policy PRODUCT KEY FACTS FIL Investment Management (Luxembourg) S.A. (as Management Company) December 2018 This statement provides you with key information about this product. This statement is part of the Hong

More information

Issuer Important Risk Warning:

Issuer Important Risk Warning: Date*: United States Government, acting through the Bureau of the Fiscal Service (the Issuer ) Issue of USD57,351,000,000 3.75 per cent Fixed Rate Notes due November 2018 Important Risk Warning: This is

More information

Issuer Important Risk Warning:

Issuer Important Risk Warning: Date*: United States Government, acting through the Bureau of the Fiscal Service (the Issuer ) Issue of USD67,850,000,000 2.625 per cent Fixed Rate Notes due August 2020 Important Risk Warning: This is

More information

須填妥隨附的申請表 ( 內含 中銀企業網上銀行 / 中行網銀 ( 香港 )/ igtb NET 委託使用者資料表格 ), 然後由相關的委託使用者將簽妥的表格連同下列所需文件, 親身交回本行任何一家提供商業賬戶服務的分行, 或請聯絡專責客戶經理辦理

須填妥隨附的申請表 ( 內含 中銀企業網上銀行 / 中行網銀 ( 香港 )/ igtb NET 委託使用者資料表格 ), 然後由相關的委託使用者將簽妥的表格連同下列所需文件, 親身交回本行任何一家提供商業賬戶服務的分行, 或請聯絡專責客戶經理辦理 尊貴的客戶: 電子證書申請 / 辦理續期事宜 感謝選用企業網上銀行服務 茲通知企業 / 公司客戶如為其委託使用者 ( 如不是現有的賬戶 / 服務被授權簽字人 ) 申請電子證書, 須填妥隨附的申請表 ( 內含 中銀企業網上銀行 / 中行網銀 ( 香港 )/ igtb NET 委託使用者資料表格 ), 然後由相關的委託使用者將簽妥的表格連同下列所需文件, 親身交回本行任何一家提供商業賬戶服務的分行, 或請聯絡專責客戶經理辦理

More information

In the annual report, the following expressions shall have the following meanings unless the context requires otherwise:

In the annual report, the following expressions shall have the following meanings unless the context requires otherwise: Definitions In the annual report, the following expressions shall have the following meanings unless the context requires otherwise: Board BVI CIRC CTPI (HK) Directors Ageas Grantee HKFRS HKICPA HK(IFRIC)-Int

More information

Consolidation Refresher Workshop (Workshop 1) 8 October 2014

Consolidation Refresher Workshop (Workshop 1) 8 October 2014 Consolidation Refresher Workshop (Workshop 1) 8 October 2014 LAM Chi Yuen Nelson 林智遠 MBA MSc BBA ACA ACS CFA CPA(Aust.) CPA(US) CTA FCCA FCPA FHKIoD FTIHK MHKSI MSCA 2008-14 Nelson Consulting Limited 1

More information

木星收益信託 ( 本基金之配息來源可能為本金 ) Jupiter Income Trust 基金年度報表 年度財務報表 ( 會計年度結束於 2017 年 12 月 31 日 )

木星收益信託 ( 本基金之配息來源可能為本金 ) Jupiter Income Trust 基金年度報表 年度財務報表 ( 會計年度結束於 2017 年 12 月 31 日 ) 年度財務報表 ( 會計年度結束於 2017 年 12 月 31 日 ) 木星收益信託 ( 本基金之配息來源可能為本金 ) Jupiter Income Trust 本基金財務報告中文簡譯本內容與英文版財務報告如有任何歧異, 應以英文版財務報告為主 本基金財務報告中文簡譯本僅供投資人參考用 0 / 13 基金年度報表 本基金財務報告中文簡譯本內容與英文版財務報告如有任何歧異, 應以英文版財務報告為主

More information

每日債券參考報價 Daily Bond Indicative Quotation

每日債券參考報價 Daily Bond Indicative Quotation 美元 CAR Inc 6.125% 2020 Subsidiary Guarantor 4 Feb/ 4 Aug 6.125% 2/4/2020 4.1 Ba1 BB+ BB+ 102.20 104.68 4.77 200,000 1,000 XS1163232900 China Cinda Finance (2014) Limited 4.00% 2019 Well Kent International

More information

HSBC Global Investment Funds - China Consumer Opportunities

HSBC Global Investment Funds - China Consumer Opportunities HSBC Global Investment Funds - China Consumer Opportunities H Share Class ACHKD 28 Feb 2019 ACHKD 28 Feb 2019 Risk Disclosure The Fund invests mainly in equities. The Fund is subject to the emerging market

More information

Travel Direct Overseas Student Insurance

Travel Direct Overseas Student Insurance Chartis is a world leading property-casualty and general insurance organization serving more than 40 million clients in over 160 countries and jurisdictions. With a 90-year history, one of the industry

More information

木星季領息債券基金 基金年度報表. Jupiter Corporate Bond Fund 基金年度財務報表 ( 會計年度結束於 2017 年 2 月 28 日 ) 截至 2017 年 2 月 28 日

木星季領息債券基金 基金年度報表. Jupiter Corporate Bond Fund 基金年度財務報表 ( 會計年度結束於 2017 年 2 月 28 日 ) 截至 2017 年 2 月 28 日 基金年度財務報表 ( 會計年度結束於 2017 年 2 月 28 日 ) 木星季領息債券基金 Jupiter Corporate Bond Fund 0 / 13 本基金財務報告中文簡譯本內容與英文版財務報告如有任何歧異, 應以英文版財務報告為主 本基金財務報告中文簡譯本僅供投資人參考用 基金年度報表 截至 2017 年 2 月 28 日 本基金財務報告中文簡譯本內容與英文版財務報告如有任何歧異,

More information