Standard Settlement Instructions
|
|
- Elwin Whitehead
- 6 years ago
- Views:
Transcription
1 Standard Settlement Instructions bridport & cie s.a
2 Deliveries in I.C.S.D. Account * Euroclear Bank BIC: MGTCBEBEECL International * Clearstream Bank BIC: CEDELULL SIX Secuties Services BIC: INSECHZZXXX CH (SIX Cedel account) I.C:S.D = International Central Security Depository * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 2 / 9
3 's Australia Euroclear Bank HSBC (HKBAAU2SSYD), EOC account: CHESS: * SIX SIS Securities CH J.P. Morgan Chase Bank (CHASAU2XCCC) CHESS: Austria (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Belgium (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Canada Euroclear Bank Royal Bank of Canada (ROYCCAT2XXX), Account: CUID: RBCT * SIX SIS Securities CH CIBC Mellon Global Securities Services Company (MELNUS3PGSS) Account: SXSF CUID: COMO Czech Republic Euroclear Bank Citibank N.A., London (CITIGB2L), Citibank Europe plc, organizacní složka - Prague branch (CITICZPX), EOC account at CITI London: * SIX SIS Securities CH Citibank Europe plc, organizacni slozka (CITICZPXXXX), Account: CDCP participant number : 601 Denmark Finland (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Euroclear Bank VP - VAERDIPAPIRCENTRALEN A/S (VPDKDKKK) VPDK: * SIX SIS Securities CH VP - VAERDIPAPIRCENTRALEN A/S (VPDKDKKK) VPDK: Euroclear Bank Euroclear Finland, Account * SIX SIS Securities CH Nordea Bank Finland (NDEAFIHHXXX), Account : EOC Finland : * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 3 / 9
4 's France (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Germany (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Greece (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Hong Kong (CCASS) Hong Kong (CMU) Hungary Euroclear Bank HSBC (HSBCHKHHHKH) HSBC acc: C00019 * SIX SIS Securities CH HSBC (HSBCHKHHHKH), Account : HSBC acc: C00019 Euroclear Bank HSBC (HSBCHKHHHKH), Account : CMU: HKNE000 * SIX SIS Securities CH HSBC (HSBCHKHHHKH), Account : CMU: HKNG000 Euroclear Bank Citibank Europe Plc Hungaria Branch Office (CITIHUHXCUS), Account : (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX * SIX SIS Securities CH KELER Central Clearing House and Depository LTD (KELRHUHBXXX), Account: Indonesia * SIX SIS Securities CH Hongkong & Shanghai Banking Corp., Jakarta (HSBCIDJAXXX, Account Italy (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX KELER 0498 KSEI : HSBC1 * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 4 / 9
5 's Japan Euroclear Bank Bank of Tokyo-Mitsubishi UFJ, Ltd.(BOTKJPJTSAD), Account : JASDEC: * SIX SIS Securities CH Bank of Tokyo-Mitsubishi UFJ, Ltd.(BOTKJPJTSAD), Account : JASDEC: Netherlands (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX New Zealand Norway Poland Portugal Euroclear Bank HSBC (HSBCNZ2A), Account NZCSD: WPAC43 * SIX SIS Securities CH J.P. Morgan Chase Bank N.A (CHASNZ2ACCS) Account: NZCSD: CHAM24 * Euroclear Bank Nordea Bank Norge ASA (NDEANOKK) Account: VPS: SIX SIS Securities CH DNB Bank ASA (DNBANOKCXXX), Account: VPS: Euroclear Bank Bank Handlowy w Warszawie S.A (CITIPLPX), Account: * SIX SIS Securities CH Bank Handlowy w Warszawie S.A (CITIPLPX), Segregated account: (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Singapore South Africa Euroclear Bank Development Bank of Singapore Ltd (DBSSSGSGIBD), Account * SIX SIS Securities CH HSBC (HSBCSGSGXXX), Account: Euroclear Bank Standard Corporate and Merchant Bank (SBZAZAJJXXX), Account: * SIX SIS Securities CH FirstRand Banking Group (FIRNZAJJXXX), Account ZA * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 5 / 9
6 's South Korea * SIX SIS Securities CH HSBC (HSBCKRSEXXX), Account: KSD account : Spain (T2S) Euroclear Bank For Debt Securities : DEAG/REAG : BSSSESM2XXX - BUYR/SELL : MGTCBEBEECL, Account IBRCBSSSESM2XXX T0EX For Equities : DEAG/REAG : PARBESMXXXX - BUYR/SELL : MGTCBEBEECL, Account IBRCPARBESMXXXX T0EX Sweden Euroclear Bank Skandinaviska Enskilda Banken (ESSESESSXXX) * SIX SIS Securities CH Skandinaviska Enskilda Banken (ESSESESSXXX) Account: Switzerland * SIX SIS Securities CH SIS (INSECHZZXXX) CH (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEEB2 - BUYR/SELL : BIRCCHGGXXX BE Thailand Euroclear Bank Bangkok Bank PLC (BKKBTHBK), Account TSD * SIX SIS Securities CH HSBC (HSBCTHBKXXX), Account: Turkey * SIX SIS Securities CH Citibank A.S. (CITITRIXXXX), Account UK & Ireland (Crest) Euroclear Bank Euroclear UK & Ireland Limited (CREST) Crest Id : 56XKK Crest Id: EOC (for gilts) Crest Id : 56XKJ (for equity held under 1.5% SDRT) * SIX SIS Securities CH BNP Paribas Securities Services (PARBGB2L) Crest Id: 0PMAY * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 6 / 9
7 's US DTC/FEDWIRE Euroclear Bank *DTC SIX SIS Securities CH Euroclear Bank *FED SIX SIS Securities CH JPMorgan Chase Bank (CHASUS33), DTC: 1970, Agent ID: 01970, Inst. ID: , Account G21691 EURO98608 Citibank NY (CITIUS33XXX), Agent ID: 27603, Institutional ID: 26566, Account ABA , Fedwire-address : JP Morgan Chase/EURCLR, DTC 1970, Account G21691 EURO98608 DTCYID: 1970 DTCYID: ABA: ABA , Fedwire address : CITIBANK NYC/CUST, DTC 908, Account ABA: * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 7 / 9
8 Opérations Contacts Section Name Telephone Notes Senior Operations Officers Maëva Melamingue +41 (22) Arnaud Liria +41 (22) Michel Arsenio +41 (22) Group +41 (22) Trade confirmations Group Only if swift MT515/MT518 could not be sent Coupons Group +41 (22) Debit Interests Group +41 (22) Fax: +41 (22) / 9
9 bridport & cie s.a. bridport & co ag bridport & co (Jersey) ltd Place Longemalle 1 Bleicherweg 39 6 Bond Street 1204 Geneva 8002 Zurich St. Helier, Jersey JE2 3NP Switzerland Switzerland Channel Islands United Kingdom Tél.: +41 (22) Tél.: +41 (44) Tél. +44 (1534) Fax: +41 (22) Fax: +41 (44) Fax:+44 (1534)
10 Standard Settlement Instructions bridport & co (Jersey) ltd
11 Deliveries in I.C.S.D. Account * Euroclear Bank BIC: MGTCBEBEECL International * Clearstream Bank BIC: CEDELULL SIX Secuties Services BIC: INSECHZZXXX CH (SIX Cedel account) I.C:S.D = International Central Security Depository * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 2 / 9
12 's Australia Euroclear Bank HSBC (HKBAAU2SSYD), EOC account: CHESS: * SIX SIS Securities CH J.P. Morgan Chase Bank (CHASAU2XCCC) CHESS: Austria (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Belgium (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Canada Euroclear Bank Royal Bank of Canada (ROYCCAT2XXX), Account: CUID: RBCT * SIX SIS Securities CH CIBC Mellon Global Securities Services Company (MELNUS3PGSS) Account: SXSF CUID: COMO Czech Republic Euroclear Bank Citibank N.A., London (CITIGB2L), Citibank Europe plc, organizacní složka - Prague branch (CITICZPX), EOC account at CITI London: * SIX SIS Securities CH Citibank Europe plc, organizacni slozka (CITICZPXXXX), Account: CDCP participant number : 601 Denmark Finland (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Euroclear Bank VP - VAERDIPAPIRCENTRALEN A/S (VPDKDKKK) VPDK: * SIX SIS Securities CH VP - VAERDIPAPIRCENTRALEN A/S (VPDKDKKK) VPDK: Euroclear Bank Euroclear Finland, Account * SIX SIS Securities CH Nordea Bank Finland (NDEAFIHHXXX), Account : EOC Finland : * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 3 / 9
13 's France (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Germany (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Greece (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Hong Kong (CCASS) Hong Kong (CMU) Hungary Euroclear Bank HSBC (HSBCHKHHHKH) HSBC acc: C00019 * SIX SIS Securities CH HSBC (HSBCHKHHHKH), Account : HSBC acc: C00019 Euroclear Bank HSBC (HSBCHKHHHKH), Account : CMU: HKNE000 * SIX SIS Securities CH HSBC (HSBCHKHHHKH), Account : CMU: HKNG000 Euroclear Bank Citibank Europe Plc Hungaria Branch Office (CITIHUHXCUS), Account : (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX * SIX SIS Securities CH KELER Central Clearing House and Depository LTD (KELRHUHBXXX), Account: Indonesia * SIX SIS Securities CH Hongkong & Shanghai Banking Corp., Jakarta (HSBCIDJAXXX, Account Italy (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX KELER 0498 KSEI : HSBC1 * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 4 / 9
14 's Japan Euroclear Bank Bank of Tokyo-Mitsubishi UFJ, Ltd.(BOTKJPJTSAD), Account : JASDEC: * SIX SIS Securities CH Bank of Tokyo-Mitsubishi UFJ, Ltd.(BOTKJPJTSAD), Account : JASDEC: Netherlands (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX New Zealand Norway Poland Portugal Euroclear Bank HSBC (HSBCNZ2A), Account NZCSD: WPAC43 * SIX SIS Securities CH J.P. Morgan Chase Bank N.A (CHASNZ2ACCS) Account: NZCSD: CHAM24 * Euroclear Bank Nordea Bank Norge ASA (NDEANOKK) Account: VPS: SIX SIS Securities CH DNB Bank ASA (DNBANOKCXXX), Account: VPS: Euroclear Bank Bank Handlowy w Warszawie S.A (CITIPLPX), Account: * SIX SIS Securities CH Bank Handlowy w Warszawie S.A (CITIPLPX), Segregated account: (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEECL - BUYR/SELL : BIRCCHGGXXX Singapore South Africa Euroclear Bank Development Bank of Singapore Ltd (DBSSSGSGIBD), Account * SIX SIS Securities CH HSBC (HSBCSGSGXXX), Account: Euroclear Bank Standard Corporate and Merchant Bank (SBZAZAJJXXX), Account: * SIX SIS Securities CH FirstRand Banking Group (FIRNZAJJXXX), Account ZA * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 5 / 9
15 's South Korea * SIX SIS Securities CH HSBC (HSBCKRSEXXX), Account: KSD account : Spain (T2S) Euroclear Bank For Debt Securities : DEAG/REAG : BSSSESM2XXX - BUYR/SELL : MGTCBEBEECL, Account IBRCBSSSESM2XXX T0EX For Equities : DEAG/REAG : PARBESMXXXX - BUYR/SELL : MGTCBEBEECL, Account IBRCPARBESMXXXX T0EX Sweden Euroclear Bank Skandinaviska Enskilda Banken (ESSESESSXXX) * SIX SIS Securities CH Skandinaviska Enskilda Banken (ESSESESSXXX) Account: Switzerland * SIX SIS Securities CH SIS (INSECHZZXXX) CH (T2S) Euroclear Bank DEAG/REAG : MGTCBEBEEB2 - BUYR/SELL : BIRCCHGGXXX BE Thailand Euroclear Bank Bangkok Bank PLC (BKKBTHBK), Account TSD * SIX SIS Securities CH HSBC (HSBCTHBKXXX), Account: Turkey * SIX SIS Securities CH Citibank A.S. (CITITRIXXXX), Account UK & Ireland (Crest) Euroclear Bank Euroclear UK & Ireland Limited (CREST) Crest Id : 56XKK Crest Id: EOC (for gilts) Crest Id : 56XKJ (for equity held under 1.5% SDRT) * SIX SIS Securities CH BNP Paribas Securities Services (PARBGB2L) Crest Id: 0PMAY * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 6 / 9
16 's US DTC/FEDWIRE Euroclear Bank *DTC SIX SIS Securities CH Euroclear Bank *FED SIX SIS Securities CH JPMorgan Chase Bank (CHASUS33), DTC: 1970, Agent ID: 01970, Inst. ID: , Account G21691 EURO25840 Citibank NY (CITIUS33XXX), Agent ID: 27603, Institutional ID: 26566, Account ABA , Fedwire-address : JP Morgan Chase/EURCLR, DTC 1970, Account G21691 EURO25840 DTCYID: 1970 DTCYID: ABA: ABA , Fedwire address : CITIBANK NYC/CUST, DTC 908, Account ABA: * = default instructions This information maybe overruled at any time by individual agreements at the conclusion of a deal. 7 / 9
17 Opérations Contacts Section Name Telephone Notes Senior Operations Officers Maëva Melamingue +41 (22) Arnaud Liria +41 (22) Michel Arsenio +41 (22) Group +41 (22) Trade confirmations Group Only if swift MT515/MT518 could not be sent Coupons Group +41 (22) Debit Interests Group +41 (22) Fax: +41 (22) / 9
18 bridport & cie s.a. bridport & co ag bridport & co (Jersey) ltd Place Longemalle 1 Bleicherweg 39 6 Bond Street 1204 Geneva 8002 Zurich St. Helier, Jersey JE2 3NP Switzerland Switzerland Channel Islands United Kingdom Tél.: +41 (22) Tél.: +41 (44) Tél. +44 (1534) Fax: +41 (22) Fax: +41 (44) Fax:+44 (1534)
Securities accounts Custodian
Australia Citigroup Pty Limited CITIAU2X 2068020235 BNY Mellon IRVTBEBB CHESS Equities: 20018 Bonds: CITI35 Austria UniCredit Bank Austria AG BKAUATWW 51010004367 BNY Mellon IRVTBEBB : 2221/00 Belgium
More informationSchneider Trading Associates Limited
Schneider Trading Associates Limited Standard Settlement Instructions Equities and Associated Cash Settlement Instructions EMEA Austria ERSTE BANK GROUP AG, VIENNA BIC Code: GIBAATWGXXX Belgium PAREL SA,
More informationSettlement Instructions Nomura Global Financial Products Inc. 19th February 2018
Settlement Instructions Nomura Global Financial Products Inc 19th February 2018 Europe, Middle-East and Africa Belgium Debt Czech Republic Denmark Euro Finland Equity France Debt Germany Debt Hungary Israel
More informationReporting practices for domestic and total debt securities
Last updated: 27 November 2017 Reporting practices for domestic and total debt securities While the BIS debt securities statistics are in principle harmonised with the recommendations in the Handbook on
More informationFEES SCHEDULE (COPPER / GOLD)
FEES SCHEDULE (COPPER / GOLD) Applicable from April 208 excluding discretionary management agreement and investment advisory agreement CBP Quilvest LU EN Fees Schedule Excluding Management April 208 /5
More informationFEES SCHEDULE (SILVER/PLATINUM)
FEES SCHEDULE (SILVER/PLATINUM) Applicable from April 208 under an Investment Advisory Agreement CBP Quilvest LU EN Investment Advisory Fees Schedule April 208 /5 ADVISORY MANAGEMENT, CUSTODY FEES AND
More informationCorrigendum. OECD Pensions Outlook 2012 DOI: ISBN (print) ISBN (PDF) OECD 2012
OECD Pensions Outlook 2012 DOI: http://dx.doi.org/9789264169401-en ISBN 978-92-64-16939-5 (print) ISBN 978-92-64-16940-1 (PDF) OECD 2012 Corrigendum Page 21: Figure 1.1. Average annual real net investment
More informationOpen Day 2017 Clearstream execution-to-custody integration Valentin Nehls / Jan Willems. 5 October 2017
Open Day 2017 Clearstream execution-to-custody integration Valentin Nehls / Jan Willems 5 October 2017 Deutsche Börse Group 1 Settlement services: single point of access to cost-effective, low risk and
More informationTable 1: Foreign exchange turnover: Summary of surveys Billions of U.S. dollars. Number of business days
Table 1: Foreign exchange turnover: Summary of surveys Billions of U.S. dollars Total turnover Number of business days Average daily turnover change 1983 103.2 20 5.2 1986 191.2 20 9.6 84.6 1989 299.9
More informationFUNDS TRANSFER REQUEST FORM (for non-payroll payments) (Please type or print)
UNITED NATIONS NATIONS UNIES FUNDS TRANSFER REQUEST FORM (for non-payroll payments) (Please type or print) Before completing, please read the attached instructions carefully. This form must be completed
More informationTransfer of Assets Form For use for account transfers from non-us brokers and banks
Transfer of Assets Form For use for account transfers from non-us brokers and banks This form authorizes the transfer of assets from a bank or broker to Interactive Brokers. If you are transferring more
More informationSan Francisco Retiree Health Care Trust Fund Education Materials on Public Equity
M E K E T A I N V E S T M E N T G R O U P 5796 ARMADA DRIVE SUITE 110 CARLSBAD CA 92008 760 795 3450 fax 760 795 3445 www.meketagroup.com The Global Equity Opportunity Set MSCI All Country World 1 Index
More informationQuarterly Investment Update First Quarter 2017
Quarterly Investment Update First Quarter 2017 Market Update: A Quarter in Review March 31, 2017 CANADIAN STOCKS INTERNATIONAL STOCKS Large Cap Small Cap Growth Value Large Cap Small Cap Growth Value Emerging
More informationFATCA, an American law applied starting July 1 st, 2014 to fight offshore tax evasion by US Taxpayers
Communication on June 19 th 2014 last update: July 23 rd 2018 FATCA, an American law applied starting July 1 st, 2014 to fight offshore tax evasion by US Taxpayers Goal and legal framework of FATCA The
More informationBlackRock Developed World Index Sub-Fund
KEY INVESTOR INFORMATION BlackRock Developed World Index Sub-Fund A sub-fund of BlackRock Index Selection Fund Objectives and Investment Policy This document provides you with key investor information
More informationDIVERSIFICATION. Diversification
Diversification Helps you capture what global markets offer Reduces risks that have no expected return May prevent you from missing opportunity Smooths out some of the bumps Helps take the guesswork out
More informationDFA Global Equity Portfolio (Class F) Quarterly Performance Report Q2 2014
DFA Global Equity Portfolio (Class F) Quarterly Performance Report Q2 2014 This presentation has been prepared by Dimensional Fund Advisors Canada ULC ( DFA Canada ), manager of the Dimensional Funds.
More informationApproach to Employment Injury (EI) compensation benefits in the EU and OECD
Approach to (EI) compensation benefits in the EU and OECD The benefits of protection can be divided in three main groups. The cash benefits include disability pensions, survivor's pensions and other short-
More informationFee Schedule for NSD s Depository Services
Fee Schedule for NSD s Depository Services Section 1. General Provisions 1.1. This Fee Schedule for NSD s Depository Services (the Fee Schedule ) sets out fees payable for depository services provided
More informationDFA Global Equity Portfolio (Class F) Performance Report Q3 2018
DFA Global Equity Portfolio (Class F) Performance Report Q3 2018 This presentation has been prepared by Dimensional Fund Advisors Canada ULC ( DFA Canada ), manager of the Dimensional Funds. This presentation
More informationDFA Global Equity Portfolio (Class F) Performance Report Q4 2017
DFA Global Equity Portfolio (Class F) Performance Report Q4 2017 This presentation has been prepared by Dimensional Fund Advisors Canada ULC ( DFA Canada ), manager of the Dimensional Funds. This presentation
More informationDFA Global Equity Portfolio (Class F) Performance Report Q2 2017
DFA Global Equity Portfolio (Class F) Performance Report Q2 2017 This presentation has been prepared by Dimensional Fund Advisors Canada ULC ( DFA Canada ), manager of the Dimensional Funds. This presentation
More informationDFA Global Equity Portfolio (Class F) Performance Report Q3 2015
DFA Global Equity Portfolio (Class F) Performance Report Q3 2015 This presentation has been prepared by Dimensional Fund Advisors Canada ULC ( DFA Canada ), manager of the Dimensional Funds. This presentation
More informationChanges to Price Source, Data Delivery and Holiday Calendars for the FTSE Fixed Income Indexes (formerly the Citi Fixed Income Indexes)
Changes to Price Source, Data Delivery and Holiday Calendars for the FTSE Fixed Income Indexes (formerly the Citi Fixed Income Indexes) FTSE Russell has undertaken various initiatives to integrate the
More informationFOREIGN ACTIVITY REPORT
FOREIGN ACTIVITY REPORT SECOND QUARTER 2012 TABLE OF CONTENTS Table of Contents... i All Securities Transactions... 2 Highlights... 2 U.S. Transactions in Foreign Securities... 2 Foreign Transactions in
More informationThe Capital Requirements (Country-by-Country Reporting) Regulations December 2017
HSBC Holdings plc The Capital Requirements (Country-by-Country Reporting) Regulations 2013 31 December 2017 This report has been prepared for HSBC Holdings plc and its subsidiaries (the HSBC Group ) to
More informationIOOF. International Equities Portfolio NZD. Quarterly update
IOOF NZD Quarterly update For the period ended 30 September 2018 Contents Overview 2 Portfolio at glance 3 Performance 4 Asset allocation 6 Overview At IOOF, we have been helping Australians secure their
More informationSTOXX EMERGING MARKETS INDICES. UNDERSTANDA RULES-BA EMERGING MARK TRANSPARENT SIMPLE
STOXX Limited STOXX EMERGING MARKETS INDICES. EMERGING MARK RULES-BA TRANSPARENT UNDERSTANDA SIMPLE MARKET CLASSIF INTRODUCTION. Many investors are seeking to embrace emerging market investments, because
More informationFee Schedule for NSD s Depository Services
Fee Schedule for NSD s Depository Services Section 1. General Provisions 1.1. This Fee Schedule for NSD s Depository Services (the Fee Schedule ) sets out fees payable for depository services provided
More information8-Jun-06 Personal Income Top Marginal Tax Rate,
8-Jun-06 Personal Income Top Marginal Tax Rate, 1975-2005 2005 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 Australia 47% 47% 47% 47% 47% 47% 47% 47% 47% 47% 47% 48% 49% 49% Austria
More informationKey Issues in the Design of Capital Gains Tax Regimes: Taxing Non- Residents. 18 July 2014
Key Issues in the Design of Capital Gains Tax Regimes: Taxing Non- Residents 18 July 2014 How do we tax non-residents on capital income? Domestic design issues Tax treaty issues Interrelationship between
More informationTAXATION OF TRUSTS IN ISRAEL. An Opportunity For Foreign Residents. Dr. Avi Nov
TAXATION OF TRUSTS IN ISRAEL An Opportunity For Foreign Residents Dr. Avi Nov Short Bio Dr. Avi Nov is an Israeli lawyer who represents taxpayers, individuals and entities. Areas of Practice: Tax Law,
More informationDFA International Core Equity Fund
For the period ended 18 The interim management report of fund performance contains financial highlights but does not contain either the interim financial statements or annual financial statements of the
More informationMANDATORY PROVIDENT FUND SCHEMES AUTHORITY
Guidelines III.4 MANDATORY PROVIDENT FUND SCHEMES AUTHORITY III.4 Guidelines on Approved Exchanges INTRODUCTION Section 2 of the Mandatory Provident Fund Schemes (General) Regulation (the Regulation) defines
More informationHealth Referral Benefit Programme
1. Business Opportunity 2. Matching Business Opportunity 3. Achievement Business Opportunity 4. Re-Purchase Business Opportunity 5. Reward Opportunity 6. Franchise Benefits India - Price per bottle is
More informationGuide to Treatment of Withholding Tax Rates. January 2018
Guide to Treatment of Withholding Tax Rates Contents 1. Introduction 1 1.1. Aims of the Guide 1 1.2. Withholding Tax Definition 1 1.3. Double Taxation Treaties 1 1.4. Information Sources 1 1.5. Guide Upkeep
More informationQuarterly Investment Update First Quarter 2018
Quarterly Investment Update First Quarter 2018 Dimensional Fund Advisors Canada ULC ( DFA Canada ) is not affiliated with [insert name of Advisor]. DFA Canada is a separate and distinct company. Market
More informationUnderstanding Financial Interconnectedness
Understanding Financial Interconnectedness Key Messages Utility Bilateral surveillance Multilateral surveillance Macro-prudential policies Swap Lines England ECB Switzerland United States JAPAN Swap Lines
More informationEQUITY REPORTING & WITHHOLDING. Updated May 2016
EQUITY REPORTING & WITHHOLDING Updated May 2016 When you exercise stock options or have RSUs lapse, there may be tax implications in any country in which you worked for P&G during the period from the
More informationFinancial wealth of private households worldwide
Economic Research Financial wealth of private households worldwide Munich, October 217 Recovery in turbulent times Assets and liabilities of private households worldwide in EUR trillion and annualrate
More informationBank of Canada Triennial Central Bank Survey of Foreign Exchange and Over-the-Counter (OTC) Derivatives Markets
Bank of Canada Triennial Central Bank Survey of Foreign Exchange and Over-the-Counter (OTC) Derivatives Markets Turnover for, and Amounts Outstanding as at June 30, March, 2005 Turnover data for, Table
More informationIMPORTANT TAX INFORMATION
00126803 IMPORTANT TAX INFORMATION Dear Hartford Funds Shareholder: The following information about your enclosed 1099-DIV from Hartford Funds should be used when preparing your 2014 tax return. The information
More informationCash Settlement Instructions
Cash Settlement Instructions Deutsche Bank AG, Frankfurt is the final beneficiary and DEUTDEFFEEQ is the BIC for all the following accounts AUSTRALIA (AUD) National Australian Bank NATAAU3303X A/C 26965-15
More informationMANDATORY PROVIDENT FUND SCHEMES AUTHORITY
Guidelines III.4 MANDATORY PROVIDENT FUND SCHEMES AUTHORITY III.4 Guidelines on Approved Exchanges INTRODUCTION Section 2 of the Mandatory Provident Fund Schemes (General) Regulation ( the Regulation )
More informationThe Bank of America Merrill Lynch Global Bond Index Rules. PIMCO Global Advantage Government Bond Index Fine Specifications
PIMCO Global Advantage Government Bond Index Fine Specifications July 2017 1 Index Overview The PIMCO Global Advantage Government Bond Index history starts on December 31, 2003. The index has a level of
More informationOECD Report Shows Tax Burdens Falling in Many OECD Countries
OECD Centres Germany Berlin (49-30) 288 8353 Japan Tokyo (81-3) 5532-0021 Mexico Mexico (52-55) 5281 3810 United States Washington (1-202) 785 6323 AUSTRALIA AUSTRIA BELGIUM CANADA CZECH REPUBLIC DENMARK
More informationSources of Government Revenue in the OECD, 2016
FISCAL FACT No. 517 July, 2016 Sources of Government Revenue in the OECD, 2016 By Kyle Pomerleau Director of Federal Projects Kevin Adams Research Assistant Key Findings OECD countries rely heavily on
More informationINFORMATION ABOUT FEES RELATED TO INVESTMENT SERVICES
SLÁVIA CAPITAL, a.s., a securities trader with its registered office Mostová 2, Bratislava 811 02, CRN 31 39 55 54, entered in the Commercial Register of the District Court Bratislava 1, Section Sa, File
More informationFTSE Global All Cap Index
FTSE Russell Factsheet FTSE Global All Cap Index bmktitle1 The FTSE Global All Cap Index is a market-capitalisation weighted index representing the performance of the large, mid and small cap stocks globally.
More informationMANDATORY PROVIDENT FUND SCHEMES AUTHORITY. Guidelines on Recognized Exchanges
Guidelines III.4 MANDATORY PROVIDENT FUND SCHEMES AUTHORITY III.4 Guidelines on Recognized Exchanges INTRODUCTION Section 2 of the Mandatory Provident Fund Schemes (General) Regulation ( the Regulation
More informationHousehold Financial Wealth By Selected Country
Household Financial Wealth By Selected Country US$ Trillions 60 50-37% Indicates Projected Shortfall 40 30 20 Extrapolation of Historical Growth 2003-24 Projection (Based on Demographic Trends) -47% -34%
More informationRathbone Heritage Fund
Rathbone Unit Trust Management Contact us 020 7399 0399 rutm@rathbones.com Q4 investment update, 31 December 2018 Performance 3 months 6 months 1 year 3 years 5 years Since Launch -11.10% -10.49% -9.72%
More informationFTSE Global All Cap Index
FTSE Russell Factsheet FTSE Global All Cap Index bmktitle1 The FTSE Global All Cap Index is a market-capitalisation weighted index representing the performance of the large, mid and small cap stocks globally.
More informationInternational Statistical Release
International Statistical Release This release and additional tables of international statistics are available on efama s website (www.efama.org). Worldwide Investment Fund Assets and Flows Trends in the
More informationStandard Settlement Instructions CACEIS Bank UCITS - Clients Group 5. CACEIS Bank, In favour of ISAEFRPPXXX. Page 1 sur 10
Standard Settlement Instructions CACEIS Bank UCITS Clients Group 5 CACEIS Bank, In favour of ISAEFRPPXXX LOCATION LOCAL SUB ACCOUNT NAME Argentina Banco Santander Rio BSCHARBASSS Omnibus CACEIS Bank UCITS
More informationPart B STATEMENT OF ADDITIONAL INFORMATION
Part B STATEMENT OF ADDITIONAL INFORMATION SIT LARGE CAP GROWTH FUND, INC. SNIGX SIT MID CAP GROWTH FUND, INC. NBNGX SIT MUTUAL FUNDS, INC, comprised of: SIT BALANCED FUND SIBAX SIT DIVIDEND GROWTH FUND,
More informationJPMorgan International Equity Income Fund Schedule of Portfolio Investments as of January 31, 2018 (Unaudited)
Schedule of Portfolio Investments as of January 31, 2018 (Unaudited) THE UNAUDITED CERTIFIED MUTUAL FUNDS HOLDINGS LIST ( the List ) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS NOT TO BE REPRODUCED
More informationInternational Statistical Release
International Statistical Release This release and additional tables of international statistics are available on efama s website (www.efama.org). Worldwide Investment Fund Assets and Flows Trends in the
More informationBROWN BROTHERS HARRIMAN GLOBAL CUSTODY NETWORK LISTING
BROWN BROTHERS HARRIMAN GLOBAL CUSTODY NETWORK LISTING Brown Brothers Harriman (Luxembourg) S.C.A. has delegated safekeeping duties to each of the entities listed below in the specified markets by appointing
More informationSummary of key findings
1 VAT/GST treatment of cross-border services: 2017 survey Supplies of e-services to consumers (B2C) (see footnote 1) Supplies of e-services to businesses (B2B) 1(a). Is a non-resident 1(b). If there is
More informationInstruction Deadline. *Settlement Cycle
Argentina Equity & Fixed Income T+0-T+2 SD+1 2:30 SD+1 2:30 Fixed Income (MAECLEAR) T+0-T+2 SD 23:00 SD 23:00 Physical T+0-T+2 SD 23:00 SD 23:00 Australia Equity T+2 SD 5:30 SD 10:30 Fixed Income T+2 SD
More information% 38, % 40, % 2,611 2,
3 DECEMBER 6 OPEN ENDED Number of Net Value of Number of Total Value Total Value Net New Date Authorised/Registered Schemes Registered of Sales of Repurchases Investment Schemes ( mn) Holders ( mn) ( mn)
More informationBank of Canada Triennial Central Bank Surveys of Foreign Exchange and Over-the-Counter (OTC) Derivatives Markets Turnover for April, 2007 and Amounts
Bank of Canada Triennial Central Bank Surveys of Foreign Exchange and Over-the-Counter (OTC) Derivatives Markets Turnover for April, 2007 and Amounts Outstanding as at June 30, 2007 January 4, 2008 Table
More informationH S B C H O L D I N G S P L C HSBC HOLDINGS PLC THE CAPITAL REQUIREMENTS. (Country-by-Country Reporting) REGULATION 2013
HSBC HOLDINGS PLC THE CAPITAL REQUIREMENTS (Country-by-Country Reporting) REGULATION 2013 31 December 2015 This report has been prepared for HSBC Holdings plc and its subsidiaries (the HSBC Group ) to
More informationInternational Statistical Release
International Statistical Release This release and additional tables of international statistics are available on efama s website (www.efama.org) Worldwide Investment Fund Assets and Flows Trends in the
More informationGlobal Business Barometer April 2008
Global Business Barometer April 2008 The Global Business Barometer is a quarterly business-confidence index, conducted for The Economist by the Economist Intelligence Unit What are your expectations of
More information! New account to be used exclusively for investments from Luxembourg domiciled SICAV structures in Japanese Eurobonds!
1 Asset Servicing Luxembourg Main Securities Custodian List Main Securities Custodian List for AIF's BIC: UBSWLULLXXX * Please be informed that for all segregated markets we have duly opened dedicated
More informationGlobal Economic Briefing: Global Inflation
Global Economic Briefing: Global Inflation November, 7 Dr. Edward Yardeni -97-7 eyardeni@ Debbie Johnson -- djohnson@ Mali Quintana -- aquintana@ Please visit our sites at www. blog. thinking outside the
More informationCOMPARISON OF RIA SYSTEMS IN OECD COUNTRIES
COMPARISON OF RIA SYSTEMS IN OECD COUNTRIES Nick Malyshev, OECD Conference on the Further Development of Impact Assessment in the European Union Brussels, RIA SYSTEMS IN OECD COUNTRIES Regulatory Impact
More informationTo Brokers, Dealers, Commercial Banks, Trust Companies and Other Nominees:
August 31, 2011 To Brokers, Dealers, Commercial Banks, Trust Companies and Other Nominees: We have been appointed by CSR plc, a company organized under the laws of England and Wales ( CSR ), as Exchange
More informationFOREIGN EXCHANGE CURRENCY GROUPINGS
FOREIGN EXCHANGE CURRENCY GROUPINGS APPENDIX A As at June 12, 1996 The currency groups for the purposes of IDA Regulation 100.2(d) are as follows, until amended, supplemented or margin surcharge notice
More informationCOUNTRY COST INDEX JUNE 2013
COUNTRY COST INDEX JUNE 2013 June 2013 Kissell Research Group, LLC 1010 Northern Blvd., Suite 208 Great Neck, NY 11021 www.kissellresearch.com Kissell Research Group Country Cost Index - June 2013 2 Executive
More informationFinancial Globalization, governance, and the home bias. Bong-Chan Kho, René M. Stulz and Frank Warnock
Financial Globalization, governance, and the home bias Bong-Chan Kho, René M. Stulz and Frank Warnock Financial globalization Since end of World War II, dramatic reduction in barriers to international
More information2
1 2 3 4 5 6 7 8 TAIWAN DEPOSITORY AND CLEARING CORPORATION HUA NAN COMMER- CIAL BANK LTD. FUHSING BRANCH, TAIPEI, TAIWAN (HNBKTWTP127) TAIWAN DEPOSITORY AND CLEARING CORPORATION MEGA INTERNATIONAL COMMERCIAL
More informationRev. Proc Implementation of Nonresident Alien Deposit Interest Regulations
Rev. Proc. 2012-24 Implementation of Nonresident Alien Deposit Interest Regulations SECTION 1. PURPOSE Sections 1.6049-4(b)(5) and 1.6049-8 of the Income Tax Regulations, as revised by TD 9584, require
More informationLIST OF ORDER EXECUTION VENUES FOR FINANCIAL INSTRUMENTS. 1. CAPITAL SECURITIES (incl. shares, ADR, GDR, ETF)
Annex No 1 to AS NORVIK BANKA ORDER EXECUTION POLICY FOR FINANCIAL INSTRUMENTS LIST OF ORDER EXECUTION VENUES FOR FINANCIAL INSTRUMENTS 1. CAPITAL SECURITIES (incl. shares, ADR, GDR, ETF) ORDER EXECUTION
More informationECSDA Study on Issuer Services
ECSDA Study on Issuer Services ECSDA European Central Securities Depositories Association CSD10 22 May 2009 Corporate Actions and Asset Servicing panel discussion Mogens Kruse VP Securities A/S Background
More informationBRINKER CAPITAL DESTINATIONS TRUST
Important 2018 Tax Information Regarding Your Mutual s BRINKER CAPITAL DESTINATIONS TRUST The following tax information is furnished for informational purposes only. Please consult your tax advisor for
More informationGUERNSEY FINANCIAL SERVICES COMMISSION INVESTMENT SUPERVISION AND POLICY DIVISION QUARTERLY STATISTICAL REVIEW 31 DECEMBER 2013 OPEN ENDED SCHEMES
Net Value of Total Value Total Value Net New Date Authorised/ of Sales of Repurchases Investment ( mn) Holders ( mn) ( mn) ( mn) 1-Dec-1 1-Mar-1 1 DECEMBER 1 OPEN ENDED -.,1 -. 1,69 +.,77,89-11 1 -.6%,16
More informationDevelopment Updates and Trends : Opportunities and Risks Local Details Operating for a Global Strategy
Development s and Trends : Opportunities and Risks Local Details Operating for a Global Strategy Claro dg. Cordero, Jr. Head Research, Consulting & Valuation Services 19 October 2012 1 Discussion agenda
More informationPerformance Derby: MSCI Regions & Countries STRG, STEG, & LTEG
Performance Derby: MSCI Regions & Countries STRG, STEG, & LTEG February 7, 2018 Dr. Ed Yardeni 516-972-7683 eyardeni@yardeni.com Joe Abbott 732-497-5306 jabbott@yardeni.com Please visit our sites at blog.yardeni.com
More informationHow to complete a payment application form (NI)
How to complete a payment application form (NI) This form should be used for making a payment from a Northern Ireland Ulster Bank account. 1. Applicant Details If you are a signal number indemnity holder,
More informationStatistical annex. Sources and definitions
Statistical annex Sources and definitions Most of the statistics shown in these tables can be found as well in several other (paper or electronic) publications or references, as follows: the annual edition
More informationFRESNO COUNTY EMPLOYEES' RETIREMENT ASSOCIATION Franklin Templeton International Equity - Country Allocation & Returns Period Ending: June 30, 2007
FRESNO COUNTY EMPLOYEES' RETIREMENT ASSOCIATION Franklin Templeton International Equity - Country Allocation & Returns Period Ending: June 30, 2007 Franklin MSCI EAFE Index Difference % Countries Weight
More informationDouble Tax Treaties. Necessity of Declaration on Tax Beneficial Ownership In case of capital gains tax. DTA Country Withholding Tax Rates (%)
Double Tax Treaties DTA Country Withholding Tax Rates (%) Albania 0 0 5/10 1 No No No Armenia 5/10 9 0 5/10 1 Yes 2 No Yes Australia 10 0 15 No No No Austria 0 0 10 No No No Azerbaijan 8 0 8 Yes No Yes
More informationBalanced Plus Select Portfolio Pn
Factsheet as at : August 25, 2018 Balanced Plus Select Portfolio Pn Fund objective This portfolio aims to provide long-term capital growth while keeping risk in a target volatility range of 10-12% over
More informationWithholding Tax Handbook BELGIUM. Version 1.2 Last Updated: June 20, New York Hong Kong London Madrid Milan Sydney
Withholding Tax Handbook BELGIUM Version 1.2 Last Updated: June 20, 2014 Globe Tax Services Incorporated 90 Broad Street, New York, NY, USA 10004 Tel +1 212 747 9100 Fax +1 212 747 0029 Info@GlobeTax.com
More informationRegistration of Foreign Limited Partnerships in the Cayman Islands
Registration of Foreign Limited Partnerships in the Cayman Islands Preface This publication has been prepared for the assistance of those who are considering registration of a foreign limited partnership
More informationDEALING 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 informationDOMESTIC CUSTODY & TRADING SERVICES
Pricing Structure DOMESTIC CUSTODY & TRADING SERVICES A flat custody fee of 20bps per account type per year is applicable to all holdings and cash, the custody fee is collected each month but will be capped
More informationA short history of debt
A short history of debt In the words of the late Charles Kindleberger, debt/financial crises are a hardy perennial we have been here many times before. Over the past decade and a half the ratio of global
More informationEU-28 STEEL SCRAP STATISTICS. by Rolf Willeke Statistics Advisor of the BIR Ferrous Division For EFR a branch of EuRIC (30 October 2017)
EU-28 STEEL SCRAP STATISTICS (JANUARY JUNE 2017) by Rolf Willeke Statistics Advisor of the BIR Ferrous Division For EFR a branch of EuRIC (30 October 2017) C O N T E N T S EU-28 and World Crude Steel Production
More informationInternational Statistical Release
International Statistical Release This release and additional tables of international statistics are available on efama s website (www.efama.org) Worldwide Investment Fund Assets and Flows Trends in the
More informationLow employment among the 50+ population in Hungary
Low employment among the + population in Hungary The role of incentives, health and cognitive capacities Janos Divenyi (Central European University) and Gabor Kezdi (Central European University and IE-CRSHAS)
More informationBalanced Select Portfolio Pn
Factsheet as at : September 22, 2018 Balanced Select Portfolio Pn Fund objective This portfolio aims to provide long-term capital growth while keeping risk in a target volatility range of 8-10% over a
More informationMarket Overview As of 1/31/2019
Asset Class Leadership Periodic Table Worst Best 78.51 58.21 41.45 37.21 34.47 27.45 26.46 20.58 19.69 29.09 27.58 2 18.88 16.71 15.51 15.12 15.06 11.15 7.84 7.28 4.98 2.64 2.11 0.39-2.91-5.50-13.71 20.14
More informationPAYMENTS... 4 Incoming payments Outgoing payments... 4 International payments Other payment services... 4
Effective from 13th of January 2018 Contents DAILY BANKING... 2 BUSINESS PACKAGES*... 2 CASH OPERATIONS... 2 ACCOUNTS... 2 ELECTRONIC SERVICES... 3 Corporate Netbank... 3 Multibank... 3 Web Service channel...
More informationMarket Overview As of 4/30/2018
Asset Class Leadership Periodic Table Worst Best 5.24-26.16-28.92-36.85-37.00-37.34-38.44-38.54-45.53 78.51 58.21 41.45 37.21 34.47 27.45 26.46 20.58 19.69 29.09 27.58 24.50 18.88 16.71 15.51 15.12 15.06
More informationMarket Overview As of 11/30/2018
Asset Class Leadership Periodic Table Worst Best 5.24-26.16-28.92-36.85-37.00-37.34-38.44-38.54-45.53 78.51 58.21 41.45 37.21 34.47 27.45 26.46 20.58 19.69 29.09 27.58 24.50 18.88 16.71 15.51 15.12 15.06
More information1000G 1000G HY
Asset Class Leadership Periodic Table Worst Best 5.24-26.16-28.92-36.85-37.00-37.34-38.44-38.54-45.53 78.51 58.21 41.45 37.21 34.47 27.45 26.46 20.58 19.69 29.09 27.58 24.50 18.88 16.71 15.51 15.12 15.06
More information