Phillip Capital Limited

Similar documents
Phillip Capital Trading Pty Ltd. Product Disclosure Statement

MARGIN FOREIGN EXCHANGE

Product Disclosure Statement

P R O D U C T D I S C L O S U R E S T A T E M E N T B I N A R Y O P T I O N S GO MARKETS

Foreign Exchange Transactions. Product Disclosure Statement

MARGIN FOREIGN EXCHANGE

COMBINED FINANCIAL SERVICES GUIDE AND PRODUCT DISCLOSURE STATEMENT PART 1

FINANCIAL SERVICES GUIDE

PRODUCT DISCLOSURE STATEMENT

FINANCIAL SERVICES GUIDE

Combined Financial Services Guide and Product Disclosure Statement (Margin)

Margin Foreign Exchange & Contracts for Difference Product Disclosure Statement

FINANCIAL SERVICES GUIDE FXGiants

ABN Issue Date: 3 April 2018

MARGIN FOREIGN EXCHANGE & CONTRACTS FOR DIFFERENCE PRODUCT DISCLOSURE STATEMENT. AxiCorp Financial Services Pty Ltd ACN AFSL

ACN is a Corporate Authorised Representative of ACN

ETORO AUS CAPITAL PTY LTD PRODUCT DISCLOSURE STATEMENT

Product Disclosure Statement for MahiFX Margin FX Trading. MahiFX Limited ARBN: AFSL: Date: 31 July 2017 Version: 4.

Product Disclosure Statement PRODUCT DISCLOSURE STATEMENT

Product Disclosure Statement CommSec CFDs

Financial Service Guide GMTK Global Pty Limited

Product Disclosure Statement Margin FX and Contracts for Difference

MARKETS.COM PRODUCT DISCLOSURE STATEMENT

FINANCIAL SERVICES GUIDE. Forex CFDS Australia is a registered trading name of. Cardiff Global Markets Pty Ltd ABN

Table of Contents. Section 1 Important Information

Product Disclosure Statement

Financial Services Guide

TradeDirect365 Product Disclosure Statement (PDS) 4 th April 2018

March International Capital Markets Pty. Ltd.

Product Disclosure Statement

INTERACTIVE BROKERS AUSTRALIA PTY LTD AFSL ABN CONTRACTS FOR DIFFERENCE PRODUCT DISCLOSURE STATEMENT

Plus500AU Pty Ltd. Product Disclosure Statement

Product Disclosure Statement (Sartorius Capital)

MARGIN FOREIGN EXCHANGE Metatrader 4 PRODUCT DISCLOSURE STATEMENT. Issue Date: 23rd December 2016

Deliverable FX Product Disclosure Statement. Sydney

Product Disclosure Statement

ROYAL OTC CONTRACTS PRODUCT DISCLOSURE STATEMENT. Royal Financial Trading Pty Limited ABN AFSL

FINANCIAL SERVICES GUIDE

PRODUCT DISCLOSURE STATEMENT Contracts for Difference

Financial Services Guide

Product Disclosure Statement

PRODUCT DISCLOSURE STATEMENT

ROYAL OTC CONTRACTS PRODUCT DISCLOSURE STATEMENT

Product Disclosure Statement

CUSTOMERS MAY LOSE MORE THAN THE AMOUNT OF FUNDS IN THEIR CFDS, MARGIN FX AND COMMODITIES ACCOUNT.

Financial Services Guide (FSG)

Financial Services Guide

2017GO MARKETSPTYLTD. ALLRIGHTSRESERVED

Artesian Corporate Bond Fund - Class A Product Disclosure Statement

PRODUCT DISCLOSURE STATEMENT CONTRACTS FOR DIFFERENCE ISSUED BY IG MARKETS LIMITED 14 MAY 2018

Product Disclosure Statement Structured Foreign Exchange Option Products 1 April 2019

INTERACTIVE BROKERS AUSTRALIA PTY LTD ABN AFSL SPOT FOREIGN EXCHANGE PRODUCT DISCLOSURE STATEMENT. Date of Issue: 6 October 2017

MARGIN FOREIGN EXCHANGE

Indices and Commodities Contracts for Difference

Financial Services Guide

FOREIGN CURRENCY FACILITIES

ANZ FIXED INCOME FUND PRODUCT DISCLOSURE STATEMENT

1 Important Information

ONEPATH WHOLESALE BALANCED TRUST

Artesian Corporate Bond Fund - Class A Product Disclosure Statement

OANDA AUSTRALIA PTY LTD PRODUCT DISCLOSURE STATEMENT

ARC Holdings Corporation. Part B. 5 June, ARC Holdings Corporation CONTRACTS FOR DIFFERENCE PRODUCT DISCLOSURE STATEMENT

COMBINED FINANCIAL SERVICES GUIDE AND PRODUCT DISCLOSURE STATEMENT

REDPOINT ACTIVE AUSTRALIAN EQUITY FUND PRODUCT DISCLOSURE STATEMENT. Dated: 1 June 2015 CONTENTS

OPTIMIX WHOLESALE GLOBAL SMALLER COMPANIES SHARE TRUST CLASS B UNITS

Information Memorandum

etoro Aus Capital Pty Ltd

ONEPATH WHOLESALE CAPITAL STABLE TRUST

Financial Services Guide

FINANCIAL SERVICES GUIDE Aleda Capital Pty Ltd Corporate Authorised Representative of HLK Group Pty Ltd AFSR AFSL

Ventura International Shares Fund

Financial Services Guide

Ventura Australian Shares Fund Product Disclosure Statement

2017GO MARKETSPTYLTD. ALLRIGHTSRESERVED

Terms and Conditions. Contracts For Difference (CFDs) Phillip Capital Trading Pty Ltd

Insight Global Absolute Return Bond Fund Product Disclosure Statement

CONTRACTS FOR DIFFERENCE IRESS PRODUCT DISCLOSURE STATEMENT

ALFA FINANCIALS (PTY) LTD. RISK DISCLOSURE AND WARNINGS NOTICE FOR CLIENTS IN COMPLEX FINANCIAL PRODUCTS

IOOF Balanced Investor Trust

Foreign Exchange Transaction.

About this Product Disclosure Statement Investor Services team IMPORTANT

ishares International Equity Index Fund Product Disclosure Statement

Product Disclosure Statement. Goldman Sachs International Wholesale Fund. Contents. Dated 22 March 2012 ARSN

Financial Services Guide

Magellan Infrastructure Fund

2. Purpose and Contents of this Product Disclosure Statement ( PDS )

COMBINED FINANCIAL SERVICES GUIDE AND PRODUCT DISCLOSURE STATEMENT

Invesco Wholesale Senior Secured Income Fund

KVB Global Markets Pty Ltd. Foreign Exchange Product Disclosure Statement (PDS) And. Financial Services Guide (FSG)

Product Disclosure Statement. Yarra Global Small Companies Fund. Contents. Dated 14 January 2017 ARSN

PRODUCT DISCLOSURE STATEMENT (PDS)

BlackRock International Gold Fund (Class D Units) Product Disclosure Statement

Vanguard International Small Companies Index Fund

Financial Services Guide for Financial Intermediary Clients

Perennial Value Smaller Companies Trust Product Disclosure Statement (PDS)

Financial Services Guide

K2 Australian Absolute Return Fund. K2 Select International Absolute Return Fund. K2 Asian Absolute Return Fund

ONEPATH WHOLESALE SUSTAINABLE AUSTRALIAN SHARE TRUST

Exchange Traded Options Product Disclosure Statement

Product Disclosure Statement

Transcription:

Phillip Capital Limited Margin Foreign Exchange Contracts and Margin Bullion Contracts Product Disclosure Statement 28 March 2018 PHILLIP CAPITAL LIMITED (ABN 14 002 918 247) (Australian Financial Services Licence Number 246827)

IMPORTANT INFORMATION The complexity and risks inherent in Spot Margin Foreign Exchange Contracts (FX Contracts) and Spot Margin Bullion Contracts (Bullion Contracts) means that these types of products are unlikely to be appropriate for the investment objectives, needs and risk profiles of many retail investors. It is important that you obtain a copy of our Financial Services Guide ( FSG ) and read, understand and, if necessary, seek independent advice on the contents of this Product Disclosure Statement ( PDS ) which includes the Margin Foreign Exchange Contracts and Margin Bullion Contracts Terms and Conditions being part of our Client Agreement before opening an account with us. The Australian Securities and Investment Commission (ASIC) has developed disclosure benchmarks for over-the-counter (OTC) derivative products that can help retail investors understand the risks associated with OTC derivative products, assess their potential benefits and decide whether investment in such products is suitable for them. As to investors being qualified to trade in OTC derivative products, Benchmark 1 outlined in ASIC Regulatory Guide 227 (RG 227) says: Benchmark 1: Client qualification Benchmark 1 addresses the issuer s policy on investors qualification for FX Contracts and Bullion Contracts trading Accordingly, to comply with this benchmark, Phillip Capital Limited (PhillipCapital) will assess client suitability to trade FX Contracts and Bullion Contracts via an online assessment. Other benchmarks are discussed in Section 2 of this PDS. For applicants who pass the assessment and appropriate account information is completed and accepted by PhillipCapital, a trading account will be opened, however applicants who fail the assessment will not have an account opened. Applicants who fail the assessment will be given the opportunity to undertake further education and will be offered assistance from an experienced advisor with respect to their derivatives and FX Contracts and Bullion Contracts knowledge development. Additional FX Contracts and Bullion Contracts education information can be found at our website www.phillipcapital.com.au. This PDS does not take into account your investment objectives, financial situation and particular needs. Neither Phillip Capital Limited nor any member of Phillip Capital Limited guarantees the performance of any FX Contract or Bullion Contract transaction entered into by you. Before entering into FX Contracts or Bullion Contracts transactions referred to in this PDS, we strongly recommend you seek independent advice to ensure this is appropriate for your particular financial objectives, needs and circumstances. FX Contracts and Bullion Contracts are speculative products. The geared nature of FX Contracts and Bullion Contracts means that there is a significantly greater risk compared with the risks associated with non-geared investment products. There exists the potential to incur losses in addition to any fees and costs that apply. Potential investors need to understand and accept the risks of investing in FX Contracts and Bullion Contracts and/or other derivative products. This PDS is available only to persons receiving the PDS in Australia. No action has been taken to register or obtain necessary approvals in other jurisdictions in respect of this PDS. The distribution of this PDS in jurisdictions outside Australia may be subject to legal restrictions. Any person who resides outside Australia who gains access to this PDS should comply with any such restrictions as failure to do so may constitute a violation of financial services laws. This PDS is not available to US persons or US investors. To the fullest extent permitted by law, Phillip Capital Limited does not accept any responsibility for errors or misstatements, negligent or otherwise, nor for any direct, indirect, consequential or other loss arising from any use of this PDS or any associated documents and/or further communication in relation to them.

CONTENTS

1. GENERAL INFORMATION 1.1 Introduction and Purpose Section 4 1.2 Your Contract with PhillipCapital

1.3 Information Subject to Change http://www.phillipcapital.com.au. 1.4 Phillip Capital Limited Pty ltd 1.5 Anti-Money Laundering Laws 1.6 Contact Us 1.7 Restrictions of Offer 1.8 No Cooling Off

2. REGULATORY BENCHMARK DISCLOSURE 2.1 Benchmarks for FX Contracts and Bullion Contracts Disclosure Benchmark Meet Benchmark? Related Information Benchmark 1. Client qualification The Client assessment is included in the PhillipCapital Account Application accessed at Benchmark 2. Opening collateral

Disclosure Benchmark Meet Benchmark? Related Information Benchmark 3. Counterparty risk hedging

Disclosure Benchmark Meet Benchmark? Related Information Benchmark 4. Counterparty risk financial resources

Disclosure Benchmark Meet Benchmark? Related Information Benchmark 5. Client money

Disclosure Benchmark Meet Benchmark? Related Information Benchmark 6. Suspended or halted underlying assets Benchmark 7. Margin calls o o

3. SPOT MARGIN FOREIGN EXCHANGE CONTRACTS and SPOT MARGIN BULLION CONTRACTS 3.1 What are Spot Margin Foreign Exchange Contracts ( FX Contracts ) and Spot Margin Bullion Contracts ( Bullion Contracts )? 3.1.1 FX Contracts 3.1.2 Bullion Contracts 3.2 Key Features of FX Contracts and Bullion Contracts 3.2.1 Contract Size 3.2.2 Underlying Asset 3.2.3 Leverage 3.2.4 Short Position 3.2.5 Long Position 3.2.6 FX Swap/Interest

3.2.7 Bullion Interest 3.2.8 Value Date/Expiry Date 3.2.9 Rollover

3.2.10 Closing Positions Order 3.3 Client Money 3.3.1 General 3.3.2 Authorisation by Client Reg Guide 212.50 and Reg 7.8.02A] 3.3.3 When retail Client Money is not used [Corps Amendment (Client Money) Regs 2017 inserting Corporations Regulation 7.8.02A] 3.4 Key Risks of Trading FX Contracts and Bullion Contracts 3.5 Margin Requirements

3.5.1 Initial (Minimum) Margin and Maintenance Margin 1. Initial Margin (IM): 2. Maintenance Margin (MM): FX Contract Example 3.5.2 Force Liquidation Margin 3.6 Settlement Currency 3.7 Profit and Loss

3.8 Placing Orders 3.9 Order Filling Order Order Order Order 3.10 Client Suitability 3.11 Advice 3.12 FX Contracts Available 3.13 Monitoring 3.14 Minimum Deposit 3.15 Funds Withdrawal

3.16 Modes of Payment Limited FX Trust Phillip Capital 3.17 Telegraphic Transfer Bank Details FX Trust Below is for US Dollars Only

4. SIGNIFICANT RISKS 4.1 Segregated Account Risk 4.2 Leverage Risk 4.3 Liquidity Risk 4.4 Counterparty Risk 4.5 Limiting Losses Risks and Spread Positions Stop Loss orders, Stop Limit orders or Trailing Stop orders

Spread positions 4.6 Suspension or Restriction of Trading and Pricing Relationships 4.7 Deposited Cash and Property 4.8 Market Risk 4.9 Risks Involving Transactions in Other Jurisdictions 4.10 Currency Risks 4.11 Trading Facilities Risks 4.12 Commission and Other Charges

5. FEES AND CHARGES 5.1 Commission Rates 5.2 Rollover Charges and Swap Mark Up Fees 5.3 Multi- 5.4 Funds Transfer Methods 5.4.1 Deposit or Top Up 5.4.2 Withdrawal

5.5 Taxation Implications 5.5.1 Goods and Services Tax

6. OTHER TERMS AND CONDITIONS 6.1 Client Agreement 6.2 Overview of Client Agreement Terms 6.3 Scope and Application 6.4 Trading Facility 6.5 General Conditions

6.6 Margin Requirements 6.7 Foreign Currency Transactions

6.8 Fees and Payments 6.9 Default 6.9.1 A Default shall be deemed to occur if:

7. ELECTRONIC BROKING FACILITIES 7.1 Authorised Use 7.2 Distribution and Intellectual Property 7.3 Transmission of Electronic Data 7.4 Disclaimer

7.5 Rights of Access 7.5.1 7.6 Security 7.7 Risk Warning

8. OTC FACILITIES 8.1 Notification 8.2 Default

9. PRIVACY POLICY PhillipCapital has a Privacy Policy published on the Philip Capital website. Please refer to our website at www.phillipcapital.com.au.

10. COMPLAINTS

11. COMPENSATION ARRANGEMENTS

12. DISCLAIMER

13. DEFINITIONS 13.1 General Account Application Form Applicable Laws Associate ASIC Business Day Bullion Contract Buy Client Client Agreement Client Money Section. Collateral Confirmation Contract Value Corporations Act Currency Currency Pair

Dealing Spread Default Electronic Broking Facilities Extraordinary Event Exchange Rate FX or Forex FX Contract GST Liquidity Loss Margin Market Matched off Minimum Size OTC Facilities OTC Transactions Officer Order PhillipCapital Product Disclosure Document or PDS PIN Person

Pip Products Relevant Currency Rollover Security Swap Swap Mark Up Fees Tick Size Transaction

PhillipCapital 1300 882 477 supporttrading@phillipcapital.com.au www.phillipcapital.com.au MELBOURNE SYDNEY QUEENSLAND