Krajina Tarify Minimum Maximum. Austrália 0,15 % z hodnoty transakcie AUD 10 - Belgicko 0,12 % z hodnoty transakcie EUR 6 EUR 99

Size: px
Start display at page:

Download "Krajina Tarify Minimum Maximum. Austrália 0,15 % z hodnoty transakcie AUD 10 - Belgicko 0,12 % z hodnoty transakcie EUR 6 EUR 99"

Transcription

1

2 Akcie a ETF Krajina Tarify Minimum Maximum Austrália 0,15 % z hodnoty transakcie AUD 10 - Belgicko 0,12 % z hodnoty transakcie EUR 6 EUR 99 Čína 0,20 % z hodnoty transakcie ¹ CNH 50 - Francúzsko 0,12 % z hodnoty transakcie ² EUR 6 EUR 99 Hong Kong 0,15 % z hodnoty transakcie ³ HKD 50 - Taliansko 0,12 % z hodnoty transakcie 4 EUR 6 EUR 99 Japonsko 0,15 % z hodnoty transakcie JPY Kanada CAD 0,02 za akciu CAD 5 1 % z hodnoty transakcie Mexiko 0,15 % z hodnoty transakcie MXN Nemecko 0,12 % z hodnoty transakcie EUR 6 EUR 99 Holandsko 0,12 % z hodnoty transakcie EUR 6 EUR 99 Nórsko 0,15 % z hodnoty transakcie NOK 50 - Rakúsko 0,12 % z hodnoty transakcie EUR 6 EUR 99 Singapur 0,15 % z hodnoty transakcie SGD 5 - Španielsko 0,12 % z hodnoty transakcie EUR 6 EUR 99 Švédsko 0,15 % z hodnoty transakcie SEK 50 - Švajčiarsko 0,15 % z hodnoty transakcie CHF 15 - USA USD 0,01 za akciu 5 USD 5 1 % z hodnoty transakcie Veľká Británia 0,10 % z hodnoty transakcie 6 GBP 10 - ¹ Bez 0,1% dane z objemu transakcie u obchodov na Shanghai - Hong Kong Stock Connect. Daň je zaokrúhlená na celé jednotky CNH. ² Bez 0,2% dane z objemu transakcie u spoločností so sídlom vo Francúzsku a trhovou kapitalizáciou nad EUR 1 miliardu. ³ Bez 0,103% dane z objemu transakcie. 4 5 Bez 0,1% alebo 0,2% dane z objemu transakcie (záleží na burze) u spoločností so sídlom v Taliansku a trhovou kapitalizáciou nad EUR 500 mil. Pri držaní ADR (American Depository Receipts) sa navyše platí emitentom ADR poplatok vo výške USD 0,01 - USD 0,03 za každé držané ADR. 6 Bez 0,5% dane z objemu transakcie a 1% dane z objemu transakcie u írskych spoločností.

3 Futures a Opcie Krajina Tarify futures a opcie na futures ¹ Tarify opcie Austrália AUD 5 za jeden kontrakt AUD 5 za jeden kontrakt Belgicko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Francúzsko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Hong Kong HKD 40 za jeden kontrakt HKD 40 za jeden kontrakt Taliansko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Japonsko JPY 750 za jeden kontrakt JPY 750 za jeden kontrakt Južná Kórea KRW za jeden kontrakt 0,3 % z hodnoty transakcie (minimum KRW 2 000) Kanada CAD 4 za jeden kontrakt CAD 4 za jeden kontrakt Mexiko MXN 80 za jeden kontrakt - Nemecko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Holandsko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Nórsko NOK 30 za jeden kontrakt NOK 30 za jeden kontrakt Singapur SGD 5 za jeden kontrakt - Španielsko EUR 3 za jeden kontrakt EUR 3 za jeden kontrakt Švédsko SEK 30 za jeden kontrakt SEK 30 za jeden kontrakt Švajčiarsko CHF 4 za jeden kontrakt CHF 4 za jeden kontrakt USA USD 4 za jeden kontrakt 2 USD 4 za jeden kontrakt Veľká Británia GBP 4 za jeden kontrakt GBP 4 za jeden kontrakt ¹ Poplatok za držanie je uplatňovaný pri netto futures kontraktoch, netto predaných call opciách na futures alebo netto predaných put opciách na futures na daný podklad za každý obchodný deň, kedy je táto pozícia držaná cez noc. Hodnota poplatku závisí na mene a výške plnenia maržových požiadaviek. ² Výnimkou sú Bitcoin futures, u ktorých je poplatok USD 10 za kontrakt obchodovaný na burze CBOE a USD 30 za kontrakt obchodovaný na CME. Poplatok za priradenie opcií a futures Náklad Opcie na indexy v USA, opcie na akcie v Európe Opcie na akcie v USA Opcie na indexy v Európe, futures a opcie na futures celosvetovo USD 0, * počet predaných akcií (max. USD 5,95 za transakciu) + USD 0, * agregovaná hodnota transakcie (iba predaj) Viď. Tarify futures

4 CFD na akcie Krajina Tarify Minimum Úroky (long/short) 1,2 Austrália 0,10 % z hodnoty transakcie AUD 10 BM +/- 2,50 % Česká republika 0,25 % z hodnoty transakcie CZK 150 BM +/- 4,00 % Dánsko 0,10 % z hodnoty transakcie DKK 50 BM +/- 2,50 % EU 0,10 % z hodnoty transakcie EUR 6 BM +/- 2,50 % Hong Kong 3 0,15 % z hodnoty transakcie HKD 50 BM +/- 2,50 % Japonsko 4 0,10 % z hodnoty transakcie JPY 500 BM +/- 2,50 % Nórsko 0,10 % z hodnoty transakcie NOK 50 BM +/- 2,50 % Švédsko 0,10 % z hodnoty transakcie SEK 50 BM +/- 2,50 % Švajčiarsko 0,10 % z hodnoty transakcie CHF 15 BM +/- 2,50 % USA USD 0,01 za akciu USD 5 BM +/- 2,50 % Veľká Británia 0,10 % z hodnoty transakcie GBP 6 BM +/- 2,50 % CFD na indexy Index Tarify Minimum Úroky (long/short) 1, 5 ASX 0,05 % z hodnoty transakcie AUD 10 BM +/- 2,50 % EU 0,05 % z hodnoty transakcie EUR 6 BM +/- 2,50 % FTSE100 0,05 % z hodnoty transakcie GBP 6 BM +/- 2,50 % HANG SENG 0,05 % z hodnoty transakcie HKD 50 BM +/- 2,50 % NIKKEI 0,05 % z hodnoty transakcie JPY 500 BM +/- 2,50 % SMI 0,05 % z hodnoty transakcie CHF 15 BM +/- 2,50 % USA 0,05 % z hodnoty transakcie USD 5 BM +/- 2,50 % ¹ Pri long pozíciách otvorených cez noc je účtovaný debetný (long) úrok. Pri short pozíciách otvorených cez noc je štandardne vyplácaný kreditný (short) úrok, ak nie je kreditná (short) úroková sadzba negatívna. V takom prípade by bol úrok strhnutý. Ak je Benchmark záporný, využije sa na výpočet debetného úroku Benchmark rovnajúcu sa 0%. ² Z kladných zostatkov nebude účtovaný negatívny úrok z vkladu, s výnimkou švajčiarskeho franku (CHF), dánskej koruny (DKK), japonského jenu (JPY), českej koruny (CZK), Euro (EUR) a švédskej koruny (SEK). ³ Na CFD obchodované v Hong Kongu sa vzťahuje procesný poplatok vo výške 0,10% z objemu transakcie (zaokrúhlený na celé číslo) a transakčný SFC poplatok vo výške 0,0027% z objemu transakcie. 4 Na CFD obchodované v Japonsku sa vzťahuje procesný poplatok vo výške JPY 2,95 + 0,0004% z objemu transakcie. 5 Úroková sadzba účtovaná pri CFD na indexy je stanovená ako benchmark (uvedený v tabuľke Úrok) +/- 2,5 % bez ohľadu na veľkosť otvorených pozícií po uzavretí trhu. Hodnota CFD na indexy nie je zahrnutá pri určení zodpovedajúcej úrokovej sadzby pre CFD na akcie. 6 Benchmark (BM) = 11 am GMT USD LIBOR.

5 Drahé kovy - spotový trh (Metals) Trh Tarify Minimum Úroky (long/short) Drahé kovy (spot) 1 0,05 % z hodnoty transakcie USD 5 BM +/- 2,50 % ¹ Pri long pozícií je účtovaný poplatok za skladovanie vo výške 0,10% (ročne) z hodnoty transakcie. Při short pozícií je účtovaný poplatok za požičanie, ktorý je určovaný ako Benchmark + 1% z hodnoty kontraktu. Dlhopisy Trh Tarify Minimum Maximum Euronext 0,15 % z hodnoty transakcie EUR 6 - Hong Kong 0,15 % z hodnoty transakcie HKD 50 - USA 0,20 % z nominálnej hodnoty transakcie USD ² V závislosti od typu dlhopisu, počtu dlhopisov a burze, na ktorej je príkaz exekuován, môžu byť účtované špecifické externé náklady. Pre viac informacií prosím kontaktujte LYNX na u info@lynxbroker.sk. Štruktúrované produkty (Certifikáty a Warranty) Krajina Tarify Minimum Austrália 0,15% z hodnoty transakcie AUD 10 EU 0,12% z hodnoty transakcie EUR 6 Hong Kong 0,15% z hodnoty transakcie HKD 50 Forex Mena Tarify Minimum Páka AUD 0,5 bazických bodov ¹ * hodnota transakcie AUD 5 33:1 CAD 0,5 bazických bodov ¹ * hodnota transakcie CAD 5 40:1 CHF 0,5 bazických bodov ¹ * hodnota transakcie CHF 5 25:1 CNH 0,5 bazických bodov ¹ * hodnota transakcie CNH 35 6,7:1 CZK 0,5 bazických bodov ¹ * hodnota transakcie CZK :1 DKK 0,5 bazických bodov ¹ * hodnota transakcie DKK 50 6,7:1 EUR 0,5 bazických bodov ¹ * hodnota transakcie EUR 5 33:1 GBP 0,5 bazických bodov ¹ * hodnota transakcie GBP 5 20:1 HKD 0,5 bazických bodov ¹ * hodnota transakcie HKD 40 8,3:1 HUF 0,5 bazických bodov ¹ * hodnota transakcie HUF :1 ILS 0,5 bazických bodov ¹ * hodnota transakcie ILS 25 20:1

6 Forex Mena Tarify Minimum Páka JPY 0,5 bazických bodov ¹ * hodnota transakcie JPY :1 MXN 0,5 bazických bodov ¹ * hodnota transakcie MXN :1 NOK 0,5 bazických bodov ¹ * hodnota transakcie NOK 50 30:1 NZD 0,5 bazických bodov ¹ * hodnota transakcie NZD 5 30:1 PLN 0,5 bazických bodov ¹ * hodnota transakcie PLN 20 20:1 RUB 0,5 bazických bodov ¹ * hodnota transakcie RUB 350 5:1 SEK 0,5 bazických bodov ¹ * hodnota transakcie SEK 50 30:1 SGD 0,5 bazických bodov ¹ * hodnota transakcie SGD 5 20:1 USD 0,5 bazických bodov ¹ * hodnota transakcie USD 5 40:1 ZAR 0,5 bazických bodov ¹ * hodnota transakcie ZAR 80 20:1 ¹ 0,5 bázických bodov = 0,00005 ² Poplatok za forexovú transakciu je kalkulovaný na základe hodnoty transakcie a potom konvertovaný do základnej meny účtu a zaúčtovaný. Úrok Úrok je využívaný pri menových úveroch alebo pri obchodovaní s využitím páky. Odvíja sa od benchmarku, ktorý je pri každej mene iný a je stanovovaný trhom. Všetky úrokové sadzby sú uvádzané na ročnej báze (p.a.) a sú počítané na dennej báze. Z účtu klienta sú strhnuté vždy tretí pracovný deň v novom mesiaci. Úrokové miery sú kalkulované z upravených hotovostných zostatkov každej jednotlivej meny. Upravený hotovostné zostatok sa vypočíta podľa tohto vzorca: Upravený hotovostné zostatok = vysporiadaná hotovosť -záloha na short pozície marže na komoditách Mena Benchmark (BM) BM ku Úrok z vkladu 1 Debetný úrok 2 AUD 3 RBA Daily Cash Rate Target 1,423 % Od ,01 do : BM - 1,50 % Od ,01: BM - 1,25 % CAD Bank of Canada Overnight Lending Rate 0,750 % Od ,01: BM - 1,50 % CHF Swiss Franc LIBOR (Spot-Next rate) -1,032 % Do : 0 % Od ,01: BM - 0,25 % CNH CNH HIBOR Overnight Fixing Rate (TMA) 2,065 % - BM + 7,00 % CZK Prag ON Interbank Offered Rate 0,470 % Od ,01: BM - 0,25 % BM + 5,00 % DKK Danish Tom/Next Index -0,717 % Od ,01: BM - 0,25 % BM + 5,00 % EUR EONIA (Euro Overnight Index Average) -0,608 % Do : 0 % Od ,01: BM - 0,25 % GBP GBP LIBOR (Overnight Rate) 0,235 % Od 7 000,01: BM - 1,50 % HKD HKD HIBOR (Overnight rate) 0,124 % Od ,01: BM - 1,75 % HUF Budapest Interbank Offered Rate -0,250 % Od ,01: BM - 4,00 % BM + 7,00 % ILS Tel Aviv Interbank Offered O/N Rate 0,201 % - BM + 7,00 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 4,50 % Od ,01 do : BM + 4,00 % Nad : BM + 3,50 % JPY JPY LIBOR (Spot-Next rate) -0,266 % Od ,01: BM - 0,25 % KRW Korean Won KORIBOR (1 week) 1,500 % Od ,01: BM - 2,50 % MXN Mexican Interbank TIIE (28 day rate) 7,850 % Od ,01: BM - 5,00 % NOK Norwegian Overnight Weighted Average 0,240 % Od ,01: BM - 3,50 % NZD New Zealand Dollar Official Cash Daily Rate 2,000 % Od ,01: BM - 3,50 % PLN WIBOR (Warsaw Interbank Overnight Rate) 1,522 % - Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 4,00 % Od ,01 do : BM + 3,50% Nad : BM + 3,00 % Do : BM + 5,00 % Od ,01 do : BM + 4,00 % Nad : BM + 3,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,75 % Do ,00: BM + 5,0 % Od ,01: BM + 6,0 %

7 RUB 3 RUONIA (Ruble Overnight Index Average) 7,290 % Od ,01: BM - 6,00 % BM + 7,00% SEK SEK STIBOR (Overnight Rate) -0,712 % Do : 0 % Od ,01: BM - 0,25 % SGD Singapur Dollar SOR (Swap Overnight) Rate 0,696 % Od ,01: BM - 2,00 % USD Fed Funds Effective (Overnight Rate) 1,420 % Od ,01: BM - 1,50 % USD 11 am GMT USD LIBOR 1,433 % - - Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Nad : BM + 2,50 % Do : BM + 3,50 % Od ,01 do : BM + 3,00 % Od ,01 do : BM + 2,50 % Nad : BM + 2,25 % ZAR 3 South Africa Benchmark Overnight Rate on Deposits (Sabor) 6,96 % Do ,00: 0 % Od ,01: BM - 4,00 % Do ,00: BM + 5,50 % Od ,01: BM + 5,00 % ¹ Z kladných zostatkov nebude účtovaný negatívny úrok z vkladu, s výnimkou švajčiarskeho franku (CHF), dánskej koruny (DKK), japonského jenu (JPY), eura (EUR) a švédskej koruny (SEK). ² Ak je Benchmark záporný, využije sa pre výpočet Debetného úroku Benchmark rovnajúci sa 0 %. 3 Kladný (kreditné) úrok môže byť účtovaný na sume prevyšujúcej AUD / RUB / ZAR Zrušenie / zmena pokynu Niektoré burzy (hlavne burzy, na ktorých sa obchodujú opcie a futures kontrakty) účtujú poplatky za zrušenie alebo zmenu pokynov. Spoločnosť LYNX môže klientovi účtovať dodatočné poplatky za zrušenie/zmenu. V tejto súvislosti by sme chceli uviesť, že poplatky účtované za zrušenie/zmenu sa nemusia skladať iba z týchto nákladov. LYNX môže od účtovania týchto poplatkov ustúpiť, aj keď sú burzou účtované. LYNX si vyhradzuje právo účtovať, či neúčtovať tieto poplatky, bez ohľadu na poplatky tretích strán. Burza Poplatok za pokyn Exekučný kredit Zmena či zrušenie opčného pokynu v USA USD 0,01 USD 0,005 za kontrakt (max. USD 0,01 alebo USD 0,035 za pokyn) Zmena či zrušenie opčného alebo futures pokynu na EUREX EUR 0,50 EUR 2,50 za exekúciu na rovnakom produkte v rovnaký deň Zmena či zrušenie Direct Routed Order (priamo smerovaného pokynu) na TGATE EUR 0,50 EUR 2,50 za exekúciu na rovnakom produkte v rovnaký deň Zmena / zrušenie pokynu na všetky ostatné burzy ZDARMA Nevzťahuje sa Ostatné náklady Typ služby Custody poplatok Výplata akciovej dividendy Štiepenie akcií Vklad na účet Výber z obchodného účtu - EUR Výber z obchodného účtu - USD Výber z obchodného účtu - CZK Poplatok za neaktivitu Čiastočné plnenie pokynu Tarify Raz za kalendárny mesiac zadarmo, inak 8 EUR Raz za kalendárny mesiac zadarmo, inak 10 USD Raz za kalendárny mesiac zadarmo, inak 300 CZK Ak je hodnota Vášho účtu (cenné papiere + hotovosť) nižšia ako $1 000 alebo ekvivalent v inej mene a ak počas kalendárneho mesiaca nezaplatíte na poplatkoch aspoň $1 alebo ekvivalent v inej mene, potom Vám bude zaúčtovaný nasledujúce poplatok za neaktivitu: Poplatok za neaktivitu = $1 - Hodnota zaplatených poplatkov za kalendárny mesiac Ak je objednávka zadaná tak, že dochádza k čiastočnému vyplnenie pokynu v rôznom čase (predovšetkým v rámci niekoľkých dní), bude pri každom plnení účtovaný zodpovedajúce poplatok. V prípade, že po čiastočnom vyplnení pokynu zmeníte parametre pre zostávajúcu časť (napr. Cenu, objem a pod.), Je taká objednávka považovaná za nový pokyn, ktorý je štandardne spoplatnený. Poplatok za vypožičanie akcií Ak držíte krátku pozíciu na akciových CFD, bude účtovaný poplatok (short interest) za vypožičanie akcií. Výška poplatku je rôzna pre každú podkladovú akciu a odvíja sa od ponuky a dopytu po danom titule. V obchodnej platforme LYNX Basic môžete vidieť orientačné úrokovú sadzbu na príslušnú akciu. Táto sadzba sa môže v priebehu času meniť tak, ako sa mení ponuka a dopyt na danom trhu. V priebehu, keď držíte short, sa teda sadzba môže meniť, bez toho aby ste o tom boli informovaní. Implicitné transakčné náklady Okrem explicitných transakčných nákladov, ktoré účtuje LYNX, existujú tiež implicitné transakčné náklady. Tieto náklady vychádzajú z rozpätia bid / ask (šírka spreadu) a zahŕňajú tak rozdiely medzi prichádzajúcou cenou a cenou plnenia. Tieto náklady nie sú účtované LYNX ale vznikajú v dôsledku burzovej infraštruktúry vďaka rozdielnemu plneniu pokynov kvôli latencii, sklzom a pod.

8 Vplyv nákladov na výnosnosť Nižšie je znázornený celkový dosah nákladov na obchodovanie cez LYNX na návratnosť vašich investícií. Bolo vytvorené rozdelenie na dva profily: defenzívne a aktívny. Čísla sú zvolené na ročnej báze. Defenzivný profil Počiatočná hodnota portfólia: Počet akciových transakcií v Nemecku: 12 Počet akciových transakcií v USA: 12 Priemerný mesačný výnos: 0,75% Kurz /$: 1,15 Aktivný profil Počiatočná hodnota portfólia: Počet akciových transakcií v Nemecku: 48 Počet akciových transakcií v USA: 48 Počet zobchodovaných akciových opcií v Nemecku: 12 Počet zobchodovaných akciových opcií v USA: 12 Počet zobchodovaných indexových opcií v Nemecku: 12 Počet zobchodovaných indexových opcií v USA: 12 Priemerný mesačný výnos: 1,25% Kurz / $: 1,15

9 LYNX Václavské námestie 776/ Praha, Česká republika T (0) T W E info@lynxbroker.sk

Príloha č. 3: k Cenníku služieb JELLYFISH Finport Professional a Individuálne riadené portfólio

Príloha č. 3: k Cenníku služieb JELLYFISH Finport Professional a Individuálne riadené portfólio Príloha č. 3: k Cenníku služieb JELLYFISH Finport Professional a Individuálne riadené portfólio Úrokové sadzby (úrokové sadzby pre kreditné úroky z hotovosti, debetné úroky z úverov poskytnutých brokerom

More information

Sadzobník kartových poplatkov firemné platobné karty / Schedule of Card Charges company payment cards

Sadzobník kartových poplatkov firemné platobné karty / Schedule of Card Charges company payment cards Sadzobník kartových poplatkov firemné platobné karty / Schedule of Card Charges company payment cards Citibank Europe plc., so sídlom Dublin, North Wall Quay 1, Írsko, registrovaná v registri spoločností

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

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

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

STANDARD TARIFF SCALE

STANDARD TARIFF SCALE AMERIABANK CJSC 17TR PL 72-20 Page 1/8 Approved by Management Board Decision 07/37/15 as of December 23, 2015 Chairman of the Management Board General Director Artak Hanesyan December 28, 2015 ANNEX 1

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

Public Register for the Clearing Obligation under EMIR

Public Register for the Clearing Obligation under EMIR Last update 2 December Public Register for the Clearing Obligation under EMIR In accordance with Article 6 of Regulation (EU) No 648/2012 of the European Parliament and of the Council of 4 July 2012 on

More information

Classes of OTC derivatives that LCH Limited has been authorised to clear as notified to ESMA under Regulation 648/2012

Classes of OTC derivatives that LCH Limited has been authorised to clear as notified to ESMA under Regulation 648/2012 Classes of OTC derivatives that LCH Limited has been authorised to clear as notified to ESMA under Regulation 648/2012 In accordance with Article 6 of Regulation (EU) No 648/2012 of the European Parliament

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

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

Public Register for the Clearing Obligation under EMIR

Public Register for the Clearing Obligation under EMIR Public Register for the Clearing Obligation under EMIR In accordance with Article 6 of Regulation (EU) No 648/2012 of the European Parliament and of the Council of 4 July 2012 on OTC derivatives, central

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

Citi Dublin Funds Transfer Cut-off Times

Citi Dublin Funds Transfer Cut-off Times Citi Dublin Funds Transfer Cut-off Times and Routing Information Standard Payment Processing Cut-off Times Customer Settlement Instructions Citi Dublin (1/3) Standard Payment Processing Cut Off Times The

More information

COMMISSIONS, CHARGES & MARGIN SCHEDULE

COMMISSIONS, CHARGES & MARGIN SCHEDULE COMMISSIONS, CHARGES & MARGIN SCHEDULE Effective as of 30th July 2018 30 July 2018 This schedule outlines the various commissions, charges, margins, interest, any other rates and important information

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

INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES Official Journal C 1 of the European Union Volume 62 English edition Information and Notices 3 January 2019 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

More information

Appendix I Procedure Section 2C (SwapClear Clearing Service)

Appendix I Procedure Section 2C (SwapClear Clearing Service) Appendix I Procedure Section 2C (Clear Clearing Service) LCH.CLEARNET LIMITED PROCEDURES SECTION 2C SWAPCLEAR CLEARING SERVICE Clearing House Procedures Clear Service Any NPV Payment made by an SCM to

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

Product Specific Contract Terms and Eligibility Criteria Manual

Product Specific Contract Terms and Eligibility Criteria Manual Appendix I Product Specific Contract s and Eligibility Criteria Manual PRODUCT SPECIFIC CONTRACT TERMS AND ELIGIBILITY CRITERIA MANUAL Product Specific Contract s and Eligibility Criteria Manual PART B

More information

Official Journal C 313

Official Journal C 313 Official Journal C 313 of the European Union Volume 61 English edition Information and Notices 5 September 2018 Contents IV Notices NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

More information

fakulta matematiky, fyziky a informatiky univerzity komenského v bratislave Projekt z finančnej matematiky

fakulta matematiky, fyziky a informatiky univerzity komenského v bratislave Projekt z finančnej matematiky fakulta matematiky, fyziky a informatiky univerzity komenského v bratislave Projekt z finančnej matematiky Bratislava 2008 Martin Takáč Fakulta Matematiky, Fyziky a Informatiky, Univerzita Komenského v

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

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 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

Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX

Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX FX Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX AUD/ / / /GBP / GBP/ GBP/ GBP/ / / / AUD/ AUD/NZD / / /NOK /SEK GBP/ GBP/NOK

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

Official Journal C 398

Official Journal C 398 Official Journal C 398 of the European Union Volume 60 English edition Information and Notices 24 November 2017 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND

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

Terms and Conditions of Lykke FX Colored Coins Issuance

Terms and Conditions of Lykke FX Colored Coins Issuance Terms and Conditions of Lykke FX Colored Coins Issuance 31 DECEMBER 2016 BACKGROUND INFORMATION The Terms and Conditions governs the issuance of certificates of IOUs (referred as ) by Lykke Corp UK Ltd.,

More information

Foreign Exchange Interventions and the Growth of FX Reserves: Diversification Potential?

Foreign Exchange Interventions and the Growth of FX Reserves: Diversification Potential? Adam Smith Seminars: 2016 AND BEYOND: WORLD ECONOMIC PROSPECTS (III) Foreign Exchange Interventions and the Growth of FX Reserves: Diversification Potential? Lubomír Lízal, Ph.D. Budapest, November 9,

More information

PONUKA BANKOVÝCH PRODUKTOV A SLUŽIEB

PONUKA BANKOVÝCH PRODUKTOV A SLUŽIEB PONUKA BANKOVÝCH PRODUKTOV A SLUŽIEB platná od 02.10.2018 III. časť - Maloletí klienti J&T BANKA, a.s., so sídlom Pobřežní 297/14, 186 00 Praha 8, IČ: 471 15 378, zapísaná v Obchodnom registri vedenom

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

Risk-free interest rate term structures. Report on the. Calculation of the UFR for 2019

Risk-free interest rate term structures. Report on the. Calculation of the UFR for 2019 EIOPA-BoS-18/141 21 March 2018 Risk-free interest rate term structures Report on the Calculation of the UFR for 2019 Executive summary EIOPA has calculated the ultimate forward rate (UFR) for 2019 in accordance

More information

Incoming International Wire Standard Settlement Instructions

Incoming International Wire Standard Settlement Instructions Treasury & Payment Solutions Quick Reference Guide Incoming International Wire Provide the standard settlement instructions as specified by currency type when requesting international commercial payments.

More information

Financial Institutions Payment Services Cut-off times

Financial Institutions Payment Services Cut-off times Financial Institutions Payment Services Cut-off times ING Belgium SA/NV May 2017 1. Commercial payments in EUR Value date Payments initiated by your bank for third party 16:45 1 D Payments initiated by

More information

Official Journal C 373

Official Journal C 373 Official Journal C 373 of the European Union Volume 60 English edition Information and Notices 4 November 2017 Contents IV Notices NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

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

Chapter 901 Interest Rate Swaps Contract Terms

Chapter 901 Interest Rate Swaps Contract Terms 90101. SCOPE OF CHAPTER Chapter 901 Interest Rate Swaps Contract Terms The terms and conditions of each IRS Contract shall be defined by this Chapter, as supplemented by the ISDA Definitions (and where

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

Networks of counterparties in the centrally cleared EU-wide interest rate derivatives market 1

Networks of counterparties in the centrally cleared EU-wide interest rate derivatives market 1 Networks of counterparties in the centrally cleared EU-wide interest rate derivatives market 1 Pawe l Fiedor Sarah Lapschies Lucia Országhová,, European Systemic Risk Board Secretariat Národná banka Slovenska

More information

NOTICE MARGIN PARAMETERS

NOTICE MARGIN PARAMETERS RISK NOTICE 2014-033 23 May 2014 NOTICE LCH.CLEARNET SA sets the margin parameters for the SPAN Cash algorithm pursuant to the Instruction IV.2-1, margin parameters for the additional margins to cover

More information

Tariff for Private Banking services

Tariff for Private Banking services Tariff for Private Banking services 201 Public Contents 1. Account management fees 2 1.1 Account Maintenance Fee 2 1.2 Additional Charges 2 1.3 Overdrafts 2 2. Financing services 2 2.1 Call loans 2 2.2

More information

c) Notice of ESMA s Product Intervention Decisions in relation to contracts for differences and binary options

c) Notice of ESMA s Product Intervention Decisions in relation to contracts for differences and binary options Leverage Policy Introduction TFI Markets Ltd has established a leverage policy which applies to all its retail customers. The purpose of the policy is to set out the leverage practices of the Company in

More information

Interest Rate Swaps: Risk Model CME Group. All rights reserved.

Interest Rate Swaps: Risk Model CME Group. All rights reserved. Interest Rate Swaps: Risk Model 2017 Disclaimer Futures trading is not suitable for all investors, and involves the risk of loss. Futures are a leveraged investment, and because only a percentage of a

More information

Real-time market data subscriptions

Real-time market data subscriptions Real-time market data subscriptions Last edit: 4 januari 2016 Real-time market data - Europe Country Non- Euronext - Basic (Stocks (incl. Deep Book), Options and Futures) EUR 1,10 N/A Euronext - Total

More information

Borsa Italiana/Milan Stock Exchange Level 2 Professional EUR 55. (Stocks & Futures) (Stocks & Futures) (Stocks & Futures)

Borsa Italiana/Milan Stock Exchange Level 2 Professional EUR 55. (Stocks & Futures) (Stocks & Futures) (Stocks & Futures) Service Level Status Currency New price in charged subscription currency Athens Exchange Level 1 Private EUR 7 Athens Exchange Level 2 Private EUR 10 Athens Exchange Level 1 Professional EUR 10 Athens

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

Please find attached as appendices the Submission Cover Sheet and the relevant changes to the LCH.Clearnet rulebook.

Please find attached as appendices the Submission Cover Sheet and the relevant changes to the LCH.Clearnet rulebook. VIA EMAIL TO: SUBMISSIONS@CFTC.GOV 20 September 2013 Ms. Melissa Jurgens Commodity Futures Trading Commission 1155 21 st Street NW Three Lafayette Centre Washington DC 20581 Dear Ms. Jurgens: Pursuant

More information

Intragroup Margin Exemption Disclosure Under The European Market Infrastructure Regulation

Intragroup Margin Exemption Disclosure Under The European Market Infrastructure Regulation Intragroup Margin Exemption Disclosure Under The European Market Infrastructure Regulation The European Market Infrastructure Regulation (EMIR) sets out minimum risk-mitigation techniques that apply to

More information

VIA CFTC PORTAL SUBMISSION. 29 September 2017

VIA CFTC PORTAL SUBMISSION. 29 September 2017 VIA CFTC PORTAL SUBMISSION 29 September 2017 Mr. Christopher Kirkpatrick Commodity Futures Trading Commission 1155 21 st Street NW Three Lafayette Centre Washington DC 20581 Dear Mr. Kirkpatrick: Pursuant

More information

Notice margin parameters

Notice margin parameters Risk Notice 2018-027 5 th April 2018 Notice margin parameters LCH SA sets the margin parameters for the SPAN Cash algorithm pursuant to the Instruction IV.2-1, margin parameters for the additional margins

More information

Official Journal C 248

Official Journal C 248 Official Journal C 248 of the European Union Volume 61 English edition Information and Notices 16 July 2018 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

More information

Margin Service API - Developer Guide

Margin Service API - Developer Guide Margin Service API - Developer Guide Developers new to CME Group's Margin Service API can refer to this flowchart for development guidance. Hyperlinks take you to examples and further information where

More information

SGT Markets Product Schedule and Business conditions.

SGT Markets Product Schedule and Business conditions. SGT Markets Product Schedule and Business conditions. Important Notice This product schedule issued by Sterling Gent Trading Ltd. (SGT Markets) should be read in conjunction with our terms of service.

More information

Payments via Unitel & Corporate Netbank Request for Transfer Customer tariff effective from 1 October 2017

Payments via Unitel & Corporate Netbank Request for Transfer Customer tariff effective from 1 October 2017 Payments via Unitel & Corporate Netbank for Transfer Customer tariff effective from 1 October 2017 Contents About the... 3 Charges... 3 and local... 3 Intercompany transfers... 3 Cancellations... 3 Disclosure

More information

Payments via Unitel & Corporate Netbank Request for Transfer Customer tariff effective from 1 January 2017

Payments via Unitel & Corporate Netbank Request for Transfer Customer tariff effective from 1 January 2017 Payments via Unitel & Corporate Netbank for Transfer Customer tariff effective from 1 January 2017 Contents About the... 3 Charges... 3 and local... 3 Intercompany transfers... 3 Cancellations... 3 Disclosure

More information

An Extract from NIFD and CLS Joint Forum Publication: Foreign Exchange Market Infrastructure to Support Stability of RMB Internationally.

An Extract from NIFD and CLS Joint Forum Publication: Foreign Exchange Market Infrastructure to Support Stability of RMB Internationally. An Extract from NIFD and CLS Joint Forum Publication: Foreign Exchange Market Infrastructure to Support Stability of RMB Internationally. 1. Introduction As China moves toward a more market driven financial

More information

Welcome to DCC. An Introduction to Currency Select

Welcome to DCC. An Introduction to Currency Select Welcome to DCC An Introduction to Currency Select Currency Select PTY LTD Based in Sydney, Australia, Currency Select enables partners in 21 countries to perform Dynamic Currency Conversion and Multi-Currency

More information

Annual Market Review Portfolio Management

Annual Market Review Portfolio Management 2016 Annual Market Review 2016 Portfolio Management 2016 Annual Market Review This report features world capital market performance for the past year. Overview: Market Summary World Asset Classes US Stocks

More information

Terms and conditions - International payments - Personal Clients

Terms and conditions - International payments - Personal Clients Terms and conditions - International payments - Personal Clients Do you plan to make an international payment? Or are you to receive a payment from a country outside Denmark? In Terms and conditions -

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

Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX

Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX FX Instrument Tick Value* Tick Size Currency Trading Days Trading Hours Contract size (1 lot) Notes Financing Charges Spot FX AUD/USD USD 1.0 0.00001 USD Sun- Fri 17:05-17:00 (EST) 100 000 Min trade size

More information

Sending Wires to BECU Incoming Wire Instructions

Sending Wires to BECU Incoming Wire Instructions Use the instructions provided in this five-page document to avoid delays. Other financial institutions that process the incoming wire may charge a fee. BECU does not charge a fee for incoming wires. If

More information

The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Hellenic Exchanges SA

The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Hellenic Exchanges SA January 2013 The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Australian Securities Exchange Ltd BM&F Bovespa Bolsa Mexicana

More information

Exchanges Index Monthly Analysis

Exchanges Index Monthly Analysis October 2016 FTSE Mondo Visione Exchanges Index Monthly Analysis The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Australian

More information

BGC Brokers L.P. OTF Rate Cards Effective Oct 2nd 2018

BGC Brokers L.P. OTF Rate Cards Effective Oct 2nd 2018 Inflation; Inflation Swaps - EUR/GBP & Inflation Bonds - EUR Execution Type Instrument Annual Rev Thresholds Rate Rate Type Notes Volume Match or Electronic GBP - ZC/Spread/Fly EUR - ZC/Spread/Fly GBP

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

Basis point. GBP per million GBP or EUR per million EUR

Basis point. GBP per million GBP or EUR per million EUR Inflation; Inflation Swaps - EUR/GBP & Inflation Bonds - EUR Execution Type Instrument Annual Rev Thresholds Rate Rate Type Notes Volume Match or Electronic GBP - ZC/Spread/Fly EUR - ZC/Spread/Fly GBP

More information

Official Journal C 406

Official Journal C 406 Official Journal C 406 of the European Union Volume 60 English edition Information and Notices 30 November 2017 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND

More information

Exchanges Index Monthly Analysis

Exchanges Index Monthly Analysis March 2017 Including Quarterly Analysis FTSE Mondo Visione Exchanges Index Monthly Analysis The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and

More information

ETFS Physical Renminbi ETF. ASX code: ZCNH

ETFS Physical Renminbi ETF. ASX code: ZCNH ETFS Physical Renminbi ETF ASX code: ZCNH The intelligent alternative The Exchange Traded Fund that lets you cash in on China The intelligent alternative What is ETFS Physical Renminbi ETF? At a glance

More information

LCH Limited Self Certification: Rule Changes on the addition of SOFR Swaps as eligible SwapClear products

LCH Limited Self Certification: Rule Changes on the addition of SOFR Swaps as eligible SwapClear products VIA CFTC PORTAL June 26 2018 Mr Christopher Kirkpatrick Commodity Futures Trading Commission 115 21 st Street NW Three Lafayette Centre Washington DC 20581 LCH Limited Self Certification: Rule Changes

More information

FEESCHEDULE DEGIRO PROFESSIONAL SERVICES All types of accounts (normal, custody, and pension)

FEESCHEDULE DEGIRO PROFESSIONAL SERVICES All types of accounts (normal, custody, and pension) FEESCHEDULE DEGIRO PROFESSIONAL SERVICES All types of accounts (normal, custody, and pension) MINIMUM ACTIVITY FEE Minimum activity fee over account value end of month till 250,000 Normal/Custody account

More information

Margin parameters on cash securities

Margin parameters on cash securities Risk Notice 2019-043 25 th January 2019 Margin parameters on cash securities LCH SA sets the margin parameters for the SPAN Cash algorithm pursuant to the Instruction IV.2-1 margin parameters for the additional

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

BGC Brokers L.P. OTF Rate Cards Effective Apr 1st 2018

BGC Brokers L.P. OTF Rate Cards Effective Apr 1st 2018 Inflation; Inflation Swaps - EUR/GBP & Inflation Bonds - EUR Execution Type Instrument Annual Rev Thresholds Rate Rate Type Notes Volume Match or Electronic GBP - ZC/Spread/Fly EUR - ZC/Spread/Fly GBP

More information

Notice margin parameters

Notice margin parameters Risk Notice 2017-084 25 th August 2017 Notice margin parameters LCH SA sets the margin parameters for the SPAN Cash algorithm pursuant to the Instruction IV.2-1, margin parameters for the additional margins

More information

2017 Annual Market Review

2017 Annual Market Review 2017 Annual Market Review 19 2017 Annual Market Review This report features world capital market performance for the past year. Overview: Market Summary World Asset Classes US Stocks International Developed

More information

Finding Quality Income

Finding Quality Income KCNY 9/30/2018 Finding Quality Income An Overview of Opportunities Within China s Interbank Bond Market info@kraneshares.com 1 Introduction to KraneShares About KraneShares Krane Funds Advisors, LLC is

More information

Fee schedule. Trading Forex Robo-Advisory Business Services

Fee schedule. Trading Forex Robo-Advisory Business Services Fee schedule Trading Forex Robo-Advisory Business Services Table of contents 1 Markets and Products 3 1.1 Stock Markets 3 1.2 OTC (Over the Counter) 3 1.3 IPO (Initial Public Offering) 3 1.4 Options &

More information

Citi Supplier Finance Supplier Agreement and Supplier Setup Form Checklist

Citi Supplier Finance Supplier Agreement and Supplier Setup Form Checklist Supplier Agreement and Supplier Setup Form Checklist Page 2: Foreign Exchange Supplement to Supplier Agreement (Manual Discount) Complete the Foreign Exchange Supplement to Supplier Agreement on Page 2

More information

Official Journal C 270

Official Journal C 270 Official Journal C 270 of the European Union Volume 61 English edition Information and Notices 1 August 2018 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

More information

Exchanges Index Monthly Analysis

Exchanges Index Monthly Analysis December 2016 Including Quarterly Analysis FTSE Mondo Visione Exchanges Index Monthly Analysis The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and

More information

Equinox Campbell Strategy Fund Portfolio Holdings as of October 31, 2017 (Based on Net Assets)

Equinox Campbell Strategy Fund Portfolio Holdings as of October 31, 2017 (Based on Net Assets) Equinox Campbell Strategy Fund Portfolio Holdings as of October 31, 2017 (Based on Net Assets) Description Market Value () Percentage Equinox Campbell Ltd Controlled Foreign Corporation $96,112,731 25.07%

More information

Official Journal C 270

Official Journal C 270 Official Journal C 270 of the European Union Volume 60 English edition Information and Notices 15 August 2017 Contents II Information INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES

More information

Exchanges Index Monthly Analysis

Exchanges Index Monthly Analysis November 2018 FTSE Mondo Visione Exchanges Index Monthly Analysis The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Australian

More information

Správcovská spoločnosť: IAD Investments, správ. spol., a.s., Malý trh 2/A, Bratislava 1

Správcovská spoločnosť: IAD Investments, správ. spol., a.s., Malý trh 2/A, Bratislava 1 Správa o hospodárení správcovskej spoločnosti s majetkom v podielovom fonde za kalendárny rok 2014 podľa 187 zákona č. 203/2011 Z.z. o kolektívnom investovaní v znení neskorších predpisov (ZKI) Správcovská

More information

Research Note. Actual Cleared Volumes vs. Mandated Cleared Volumes: Analyzing the US Derivatives Market. July 2018

Research Note. Actual Cleared Volumes vs. Mandated Cleared Volumes: Analyzing the US Derivatives Market. July 2018 July 2018 Research Note Actual Cleared Volumes vs. Mandated Cleared Volumes: Encouraging the clearing of standardized derivatives has been a major priority for policy-makers. This has primarily been pursued

More information

Terms and conditions - International payments - Corporate Clients

Terms and conditions - International payments - Corporate Clients Terms and conditions - International payments - Corporate Clients Does your company plan to make an international payment? Or are you to receive a payment from a country outside Denmark? In Terms and conditions

More information

Cash-Settled Forward (CSFs)

Cash-Settled Forward (CSFs) Cash-Settled Forward (CSFs) CSFs provide FX market participants with a clearable alternative to the predominant deliverable products in the G20 and several other pairs. These products serve as a viable

More information

THE CONTRACT FOR TRANSACTIONS, THE USE OF CFD

THE CONTRACT FOR TRANSACTIONS, THE USE OF CFD THE CONTRACT FOR TRANSACTIONS, THE USE OF CFD The company World Smart Solutions Ltd., Regal Building 2d Floor, Middle Street, Kingstown, St.Vincent and the Grenadines, hereinafter referred to as the Company,

More information

Income. Income Amounts. Income Segments. As part of the Core survey, GWI asks all respondents about their annual household income.

Income. Income Amounts. Income Segments. As part of the Core survey, GWI asks all respondents about their annual household income. Income Amounts Income Segments As part of the Core survey, GWI asks all respondents about their annual household income. We state that they should think about their household income, rather than their

More information

TERMS AND CONDITIONS FOR BANKS

TERMS AND CONDITIONS FOR BANKS TERMS AND CONDITIONS FOR BANKS Valid as of 1 st August, 2017 1 General principles of fees and commissions collection: 1. This Table concerns: a) domestics banks; b) foreign banks; c) banks with LORO account;

More information

SKAGEN Tellus Status Report April 2016

SKAGEN Tellus Status Report April 2016 Torgeir Høien Lead Manager Jane Tvedt Co-manager SKAGEN Tellus Status Report April 2016 Key numbers as of 30 April 2016 EUR, net of fees April QTD YTD 1 years 3 years 5 years Since inception* SKAGEN Tellus

More information

Exchanges Index Monthly Analysis

Exchanges Index Monthly Analysis January 2019 FTSE Mondo Visione Exchanges Index Monthly Analysis The FTSE Mondo Visione Exchanges Index is a comprehensive measure of all publicly traded stock exchanges and trading floors: Australian

More information