CITIBANK BROKERAGE SERVICES APPLICATION FORM For Existing Customers with Citibank Savings/Current Account

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1 CITIBANK BROKERAGE SERVICES APPLICATION FORM For Existing Customers with Citibank Savings/Current Account *Please complete Parts I, II and III Part I Please note that we are only able to accept applications from an individual: 21 years old and above Not a US Person Additional Documents Required: Customer Account Review / Risk Warning Statement Form W- 8Ben Form Remark: Please note that all 3 markets (US, HK and SG) will default to be opened once this application form is submitted Part II Citibank Account No: Investments are subject to certain risks. Before making a decision to invest in any investment product, it is advisable that you understand the features, benefits and risks involved in investing in the product and assess the suitability of the product in light of your risk appetite, investment objectives, financial situation and needs. You should not invest in any product unless you fully understand and are willing to assume the risks associated with it. You should obtain independent professional advice as you consider necessary. In the case of joint accounts, Citibank requests account holders to determine between them which individual s knowledge and experience should be recorded by Citibank and assigned to the joint account. I confirm to Citibank that I have knowledge and/or experience in Exchange Traded Products (described below) based on past investment experience, academic qualification, work experience and/or other means. Exchange Traded Products refer to products such as common stock, preference shares, bonds, American Depository Receipts, Real Estate Investment Trusts, Exchange Traded Funds, Exchange Traded Notes, Exchange Traded Business Trusts, warrants that are traded on stock markets. Part III CUSTOMER S DECLARATION By signing below, I/we confirm to Citibank the following: 1. I/We want to trade in all markets offered by Citibank. 2. I/We confirm that the information provided in the Citibank Brokerage Services Application Form and in any document furnished by me/us in connection with such application is true, accurate and complete. I/We enclose a photocopy of my/our NRIC/passport showing my/our particulars. 3. Please refer to for the Terms and Conditions for Citibank Brokerage Services, Citibank Singapore Global Consumer Banking Terms and Conditions and the Citibank Online User Agreement. 4. I/We confirm that I am/we are the beneficial owner(s) of the brokerage account. 5. I/We confirm that at the time of this application, I am/we are not undischarged bankrupt(s) and that there has been no statutory demand(s) served on me/us nor legal proceedings commenced against me/us. Co. Reg. No K Page 1 of 3 Ver

2 PART III (Continued) 6. I/We shall supply any information required by Citibank (as the case may be) in connection with the processing of this application and the opening, operation and maintenance of my/our account(s) consequent upon the approval by Citibank of this application and shall notify Citibank promptly or any change to such information. 7. I/We agree that the approval of this application is at the sole discretion of Citibank. 8. Without prejudice to the generality of the terms permitting disclosure of information in Citibank Singapore Global Consumer Banking Terms and Conditions, I/we authorize the transfer and disclosure of any information relating to me/us and my/our account(s) with Citibank, to and between the branches, subsidiaries, representative offices, affiliates, employees and agents of Citibank and third parties selected by any of them may transfer and disclose any information as may be required by any applicable law, court, regulator or legal process. Where Citibank is a member of, or subscriber for the information sharing services of, any credit bureau recognized by the Monetary Authority of Singapore ( MAS ) under or pursuant to the Banking Act (Chapter 19), I/we authorize: (a) Citibank to transfer and disclose to any such bureau; and (b) any such bureau to transfer and disclose to any fellow member or subscriber as may be recognized as such by MAS, any information relating to me/us and/or any of my/our account(s) with Citibank (and for such purposes) as may be permitted under or pursuant to the Banking Act (Chapter 19). 8A. I/we confirm that I am/we are aware of and understand the Privacy Circular prepared pursuant to the Personal Data Protection Act 2012 of Singapore ( PDPA ) for the compliance of PDPA. I/We warrant and represent to you that to the extent required by applicable law or regulation, I/we have provided notice to and obtained consent from the Relevant Individuals (as defined in the Privacy Circular), for you, Citibank Entities (as defined in the Privacy Circular), and its agents and contractors to collect, use, disclose and/or otherwise deal with Personal Data (as defined in the PDPA), for purposes described in the Privacy Circular, the Agreement and/or the Citibank Singapore Global Consumer Banking Terms and Conditions, prior to the disclosure of such Personal Data to the Bank. 9. I/We understand that the price of securities can and does fluctuate, sometimes dramatically, and that any individual security may experience upward or downward movements, and may even become valueless. I/We therefore acknowledge that it is as likely that losses will be incurred rather than profit made as a result of buying and selling securities. This is the risk that I am/we are prepared to accept. I/We take complete responsibility for any outcome of buying and selling securities and agree not to hold Citibank responsible for any losses resulting from my/our trading strategy except in the case of Citibank s or its employees gross negligence, wilful default or fraud. 10. (Where I/we do not already have a Citibank ATM/Debit Card) I/We acknowledge and agree that in order for me/us to enjoy the brokerage services offered via Citibank s website (defined below), I/we am/are required to apply for a Citibank ATM Card. I/We hereby request that a Citibank ATM Card be issued to me/us upon approval of my/our application here under and I/we agree to be bound by the terms and conditions applicable to such Citibank ATM Card as set out in the Citibank Singapore Global Consumer Banking Terms and Conditions. 11. I am/we are aware that I/we may request for advice from Citibank in connection with transactions in my/our brokerage account(s). I/We acknowledge and agree that any advice (or recommendation) provided by Citibank pursuant to my/our request shall be limited to advice (or recommendation) the provision of which is required under the Notice on the Sale of Investment Products (SFA 04-N12) and/or the Notice on Recommendations on Investment Products (FAA-N16) issued by the Monetary Authority of Singapore. The references to these notices shall include any variation, amendment or supplemental issued by the Monetary Authority of Singapore. Without limitation to the generality of the foregoing, Citibank is exempt from complying with the Notice on Sale of Investment Products and the Notice on Recommendations on Investment Products where I am an/we are Accredited Investor(s). I/We understand that any advice (or recommendation) provided by Citibank pursuant to my/our request will be based on information I/we provide to Citibank about my/our risk profile and investment objectives. The advice (or recommendation) is provided as at a specific point in time and the performance of my/our investments will not be actively monitored by Citibank. I/We acknowledge and agree that Citibank does not undertake to, and is not obliged to, undertake a review, manage or monitor my/our investment(s). I/We further acknowledge and agree that no investment advisory or fund management services are being provided by Citibank in connection with my/our Citibank Brokerage Account. 12. US Tax Declaration 1. By checking the appropriate box under the U.S. Tax Declaration set out in this form (Part I), I/we declare my/our tax status under U.S. tax law. I/We understand that a false statement or misrepresentation of the tax status by a U.S. Person could lead to penalties under U.S. tax laws. 2. In the event if the U.S. tax declaration box in Part I has not been checked, I/we represent and warrant that I am/we are not a U.S. Person and that I am/we are not acting for or on behalf of a U.S. Person. A false statement or misrepresentation of tax status by a U.S. Person could lead to penalties under the U.S. laws. 3. I/We must provide you with such information as you may require from time to time, and must update that information as you require from time to time, to enable you or any Citigroup Organisation to comply with any Law or Regulation. In particular, I/we must contact you immediately or at least within 30 days if at any time in the future I/we become a U.S. Person (this does not apply if I/we have already informed you that I was/we were a U.S Person when I/we opened the account). If I/we do become a U.S. Person, I/we must complete and return to you as soon as reasonably possible any relevant U.S. tax or waiver document that may apply to me/us and that you may request from time to time. 4. For purposes of complying with the applicable Law or Regulation, I/we waive any bank secrecy, privacy or data protection rights related to my/our accounts(s). Citigroup Organisation means any affiliate or subsidiary of Citigroup, Inc. Law or Regulation means the law or regulation of any jurisdiction, domestic or foreign or any agreement entered into with or between any competent regulator prosecuting, tax, governmental authority in any jurisdiction, domestic or foreign U.S. or United States refers to the United States of America U.S. Person mean any of the following: (i) a United States citizen; (ii) a United States resident; meaning: a. a green card holder, or b. an individual physically present in the United States for 31 days in the current calendar year and 183 days during the 3 year period that includes the current year and the two years immediately before that, counting: i. all the days present in the U.S. in the current year, ii. 1/3 of the days present in the U.S. in the first year before the current year, and iii. 1/6 of the days present in the U.S. in the second year before the current year; or c. an individual designated a resident for U.S. tax purposes; or d. an individual with a U.S. mailing address or U.S. telephone number. (iii) a corporation partnership or entity organised or existing under the laws of any state territory or possession of the United States; (iv) an estate or trust of which any executor, administrator or trustee is a United States Person; (v) an agency or branch of a foreign entity located in the United States; (vi) a discretionary or non-discretionary account held by a fiduciary for the benefit or account of a United States Person; (vii) a non-u.s. partnership, corporation or entity owned or controlled by a United States Person (ownership of 10% or more by a U.S. Person); or Co. Reg. No K Page 2 of 3 Ver

3 PART III (Continued) Definitions (viii) a partnership, corporation or entity with a U.S. mailing address or U.S. telephone number. Citibank assumes no liability for any tax withheld on any reportable payments made to a customer under applicable Law or Regulation. Citibank means. A Senior Public Figure is a senior official in the executive, legislative, administrative, military or judicial branches of a government, whether or not elected, a senior official of a major political party, or a senior executive of a government-owned or government-funded corporation, institution or charity. A Senior Public Figure also includes any entity that has been formed by or on behalf of a Senior Public Figure, in which the Senior Public Figure is a beneficial owner of at least twenty-five percent of the entity or exercise actual or effective control over the entity. In addition, a Senior Public Figure includes the immediate family of a Senior Public Figure and any close associate or relative of a Senior Public Figure. A close associate is a person who is widely and publicly known to maintain an unusually close relationship with and able to conduct financial transactions on behalf of a Senior Public Figure. Citibank website means Business Day refers to any day on which banks are open for business in Singapore other than Saturday, Sunday and gazette public holidays. Accredited Investor has the meaning ascribed to it in the Securities and Futures Act (Chapter 289) and refers to: (i) an individual: (A) whose net personal assets exceed in value $2 million (or its equivalent in a foreign currency) or such other amount as the MAS may prescribe in place of the first amount; or (B) whose income in the preceding 12 months is not less than $300,000 (or its equivalent in a foreign currency) or such other amount as the MAS may prescribe in place of the first amount; (ii) a corporation with net assets exceeding $10 million in value (or its equivalent in a foreign currency) or such other amount as the MAS may prescribe, in place of the first amount, as determined by: (A) the most recent audited balance-sheet of the corporation; or (B) where the corporation is not required to prepare audited accounts regularly, a balance-sheet of the corporation certified by the corporation as giving a true and fair view of the state of affairs of the corporation as of the date of the balance-sheet, which date shall be within the preceding 12 months; (iii) the trustee of such trust as the MAS may prescribe, when acting in that capacity; or (iv) such other person as the MAS may prescribe. Deposit Insurance Scheme Singapore dollar deposits of non-bank depositors are insured by the Singapore Deposit Insurance Corporation, for up to S$50,000 in aggregate per depositor per Scheme member by law. Foreign currency deposits, dual currency investments, structured deposits and other investment products are not insured. Applicant s Acknowledgement and Agreement (Main Applicant) (Joint Main Applicant) (Joint Main Applicant) (Joint Main Applicant) (Signature will be kept as specimen and is applicable to accounts held with.) For Bank Use Only Source: Name/RCAO: Signature Verified By: Instruction Taken By: Co. Reg. No K Page 3 of 3 Ver

4 CITIBANK BROKERAGE CUSTOMER ACCOUNT REVIEW ASSESSMENT RISK WARNING STATEMENT To: Global Consumer Bank ( Citibank ) (A) CUSTOMER ACCOUNT REVIEW ASSESSMENT To enable Citibank to assess my/our investment knowledge and experience, I/we hereby confirm that (tick where appropriate): IMPORTANT NOTE: Please note that all joint accountholders are required to complete the Customer Account Review Assessment. Please note that it is very important for you to provide complete and accurate information, as it may affect the outcome of the Customer Account Review. Main Accountholder My highest educational qualification is: Primary & Below Secondary Secondary Pre-University Diploma Diploma University & Above Joint Accountholder My highest educational qualification is: Primary & Below Secondary Secondary Pre-University Diploma Diploma University & Above My Diploma or higher qualification is in: Accountancy Actuarial Science Capital Markets Commerce Computational Finance Finance Financial Planning My Diploma or higher qualification is in: Accountancy Actuarial Science Capital Markets Commerce Computational Finance Finance Financial Planning Business/Business Administration/ Business Management/Business Studies Economics Financial Engineering Insurance Business/Business Administration/ Business Management/Business Studies Economics Financial Engineering Insurance Professional Finance-related Qualifications (e.g.chartered Financial Analyst) I have transacted in listed Specified Investment Products 1 at least six times in the preceding three years (stocks, warrants, options, exchange traded funds/notes, futures and certificates listed in Singapore and securities that are listed/quoted on a securities/ futures exchange outside Singapore). I have a minimum of three consecutive years of working experience (such working experience includes the provision of legal advice or possession of legal expertise on the relevant areas listed in this paragraph) in the past ten years, in the development of, structuring of, management of, sale of, trading of, research on or analysis of investment products, or the provision of training in investment products, or in accountancy, actuarial science, treasury or financial risk management activities. OR I do not possess any of the qualifying criteria described above which is mandated under The Securities and Futures Act (Cap 289) of Singapore for the purposes of passing the Customer Account Review ( CAR ) Assessment. Dear Customer, if you do not possess any of the qualifying criteria and have not passed the Customer Account Review Assessment, we recommend that you go through an online education program arranged by The Singapore Exchange ("SGX") on Specified Investment Products to have sufficient understanding of the features and risks of derivatives. The online education program can be accessed at: If you have completed the online education program arranged by SGX on Specified Investment Products please check box to confirm if appropriate: I confirm that I have completed and passed the online education program arranged by SGX and have sufficient understanding of the features and risks of derivatives; And here is the score of my assessment at the end of the SGX learning module taken: Date of Assessment(s) : Professional Finance-related Qualifications (e.g.chartered Financial Analyst) I have transacted in listed Specified Investment Products 1 at least six times in the preceding three years (stocks, warrants, options, exchange traded funds/notes, futures and certificates listed in Singapore and securities that are listed/quoted on a securities/ futures exchange outside Singapore). I have a minimum of three consecutive years of working experience (such working experience includes the provision of legal advice or possession of legal expertise on the relevant areas listed in this paragraph) in the past ten years, in the development of, structuring of, management of, sale of, trading of, research on or analysis of investment products, or the provision of training in investment products, or in accountancy, actuarial science, treasury or financial risk management activities. OR I do not possess any of the qualifying criteria described above which is mandated under The Securities and Futures Act (Cap 289) of Singapore for the purposes of passing the Customer Account Review ( CAR ) Assessment. Dear Customer, if you do not possess any of the qualifying criteria and have not passed the Customer Account Review Assessment, we recommend that you go through an online education program arranged by The Singapore Exchange ("SGX") on Specified Investment Products to have sufficient understanding of the features and risks of derivatives. The online education program can be accessed at: If you have completed the online education program arranged by SGX on Specified Investment Products please check box to confirm if appropriate: I confirm that I have completed and passed the online education program arranged by SGX and have sufficient understanding of the features and risks of derivatives; And here is the score of my assessment at the end of the SGX learning module taken: Date of Assessment(s) : Score(s) : Score(s) : I also confirm and declare that I have not been refused the opening of a Specified Investment Product trading account by another financial institution. I understand that I have fulfilled the CAR requirement or have completed and passed an online education program in Specified Investment Products. I further understand that Citibank may periodically request for my confirmation of any changes to this CAR record and I acknowledge that it is my responsibility to inform Citibank where any such changes have occurred or whenever such confirmation request is made to me. I further acknowledge that I understand that any inaccurate or incomplete information that I have provided/will provide may affect the outcome of the CAR. I also confirm and declare that I have not been refused the opening of a Specified Investment Product trading account by another financial institution. I understand that I have fulfilled the CAR requirement or have completed and passed an online education program in Specified Investment Products. I further understand that Citibank may periodically request for my confirmation of any changes to this CAR record and I acknowledge that it is my responsibility to inform Citibank where any such changes have occurred or whenever such confirmation request is made to me. I further acknowledge that I understand that any inaccurate or incomplete information that I have provided/will provide may affect the outcome of the CAR. Co. Reg. No K Page 1 of 3 Ver

5 1 Footnote: Description of Investment Product Investment product means: (a) any capital markets product as defined in section 2(1) of The Securities and Futures Act; (b) any life policy; or (c) any other product as may be prescribed; Capital Markets Products means any securities, futures contracts, contracts or arrangements for the purposes of foreign exchange trading, contracts or arrangements for the purposes of leveraged foreign exchange trading, and such other products as the Authority may prescribe as capital markets products. Description of Specified Investment Products Investment products that are not Excluded Investment Products. Description of Excluded Investment Products (a) any stocks or shares issued or proposed to be issued by a corporation or body unincorporate, other than where such corporation or body unincorporate is a collective investment scheme; (b) any unit of a share which represents ownership of the underlying share, where (i ) the underlying share is held on trust for the unit-holder by a custodian; and (ii) no additional consideration (other than administrative fees) is payable by the unit-holder in the event that he converts the unit of share into the underlying share; (c) any right, option or derivative issued or proposed to be issued by a corporation or body unincorporate in respect of its own stocks or shares; (d) any unit in a business trust; (e) any derivative of units in a business trust; (f) any unit in a collective investment scheme, such collective investment scheme being an arrangement: (i) that is a trust; (ii) that invests primarily in real estate and real estate-related assets specifi ed by the Monetary Authority of Singapore in the Code on Collective Investment Schemes; and (iii) all or any units of which are listed for quotation on a securities exchange; (g) any unit in a collective investment scheme, where the constitutive documents of the scheme contain covenants that bind the manager of the scheme, or where the prospectus of the scheme or any document issued in connection with an offer of units in the scheme (being an offer that is not required to be made in or accompanied by a prospectus under section 296(1) of the Securities and Futures ( Act ), contains restrictions that bind the manager of the scheme ( CIS Documents ): (i) to invest only in: (A) deposits; (B) gold, including gold certificates, gold savings accounts and physical gold; (C) any product specified in paragraphs (a) to (j) in this document; (D) any product not specified in paragraphs (a) to (j) in this document and such investment is solely for the purpose of hedging or efficient portfolio management; or (E) any product specified in sub-paragraphs (i)(a), (B), (C) or (D) and in addition, the CIS Documents also provide that the manager of the scheme may invest in any product not specified in sub-paragraphs (i)(a), (B), (C) or (D) if such investment is solely to comply with any applicable written law, regulations, directions, rules or non-statutory instrument of the jurisdiction where the scheme is constituted, operating or investing, which restricts or prohibits the manager of the scheme from investing in the products specified in sub-paragraphs (i)(a), (B), (C) or (D); and (ii) not to engage in securities lending or repurchase transactions for the scheme, except where such securities lending or repurchase transaction are carried out solely for the purpose of efficient portfolio management and do not amount to more than 50% of the net asset value of the scheme; For the avoidance of doubt, should the manager of a collective investment scheme invest in any product not specified in sub-paragraphs (i)(a), (B), (C) or (D), this unit in a collective investment scheme will not be an Excluded Investment Product. (h) any debenture other than: (i) asset-backed securities as defined in section 262(3) of the Securities and Futures Act; or (ii) structured notes as defined in regulation 2(1) of the Securities and Futures (Offers of Investments) (Shares and Debentures) Regulations 2005; (i) any contract or arrangement the effect of which is that one party agrees to exchange currency at an agreed rate of exchange with another party, where such currency exchange is effected immediately; or (j) two or more products specified in paragraphs (a) to (i) in Annex 1 of the Notice that are linked together in a stapled manner such that one product may not be transferred or otherwise dealt without any of the other product(s). (B) RISK WARNING STATEMENT OVERSEAS LISTED INVESTMENT PRODUCTS RISK WARNING An overseas-listed investment product* is subject to the laws and regulations of the jurisdiction it is listed in. Before you trade in an overseas-listed investment product or authorize someone else to trade for you, you should be aware of: The level of investor protection and safeguards that you are afforded in the relevant foreign jurisdiction, as the overseas-listed investment product would operate under a different regulatory regime. The differences between the legal systems in the foreign jurisdiction and Singapore that may affect your ability to recover your funds. The tax implications, currency risks, and additional transaction costs that you may have to incur. The counterparty and correspondent broker risks that you are exposed to. The political, economic and social developments that influence the overseas markets you are investing in. These and other risks may affect the value of your investment. You should not invest in the product if you do not understand or are not comfortable with such risks. * An overseas-listed investment product in this statement refers to a capital markets product that is listed for quotation or quoted only on overseas securities exchange(s) or overseas futures exchange(s) (collectively referred to as overseas exchanges ). a) This statement is provided to you in accordance with paragraph 29D of the Notice on the Sale of Investment Products [SFA04-N12]. b) This statement does not disclose all the risks and other significant aspects of trading in an overseas-listed investment product. You should undertake such transactions only if you understand and are comfortable with the extent of your exposure to the risks. c) You should carefully consider whether such trading is suitable for you in light of your experience, objectives, risk appetite, financial resources and other relevant circumstances. In considering whether to trade or to authorize someone else to trade for you, you should be aware of the following: Differences in Regulatory Regimes a. Overseas markets may be subject to different regulations, and may operate differently from approved exchanges in Singapore. For example, there may be different rules providing for the safekeeping of securities and monies held by custodian banks or depositories. This may affect the level of safeguards in place to ensure proper segregation and safekeeping of your investment products or monies held overseas. There is also the risk of your investment products or monies not being protected if the custodian has credit problems or fails. Overseas markets may also have different periods for clearing and settling transactions. These may affect the information available to you regarding transaction prices and the time you have to settle your trade on such overseas markets. b. Overseas markets may be subject to rules which may offer different investor protection as compared to Singapore. Before you start to trade, you should be fully aware of the types of redress available to you in Singapore and other relevant jurisdictions, if any. c. Overseas-listed investment products may not be subject to the same disclosure standards that apply to investment products listed for quotation or quoted on an approved exchange in Singapore. Where disclosure is made, differences in accounting, auditing and financial reporting standards may also affect the quality and comparability of information provided. It may also be more difficult to locate up-to-date information, and the information published may only be available in a foreign language. Differences in legal systems d. In some countries, legal concepts which are practiced in mature legal systems may not be in place or may have yet to be tested in courts. This would make it more difficult to predict with a degree of certainty the outcome of judicial proceedings or even the quantum of damages which may be awarded following a successful claim. Co. Reg. No K Page 2 of 3 Ver

6 (B) (Continued) e. The Monetary Authority of Singapore will be unable to compel the enforcement of the rules of the regulatory authorities or markets in other jurisdictions where your transactions will be effected. f. The laws of some jurisdictions may prohibit or restrict the repatriation of funds from such jurisdictions including capital, divestment proceeds, profits, dividends and interest arising from investment in such countries. Therefore, there is no guarantee that the funds you have invested and the funds arising from your investment will be capable of being remitted. g. Some jurisdictions may also restrict the amount or type of investment products that foreign investors may purchase. This can affect the liquidity and prices of the overseas-listed investment product that you invest in. Different costs involved h. There may be tax implications of investing in an overseas-listed investment product. For example, sale proceeds or the receipt of any dividends and other income may be subject to tax levies, duties or charges in the foreign country, in Singapore, or in both countries. i. Your investment return on foreign currency-denominated investment products will be affected by exchange rate fluctuations where there is a need to convert from the currency of denomination of the investment products to another currency, or may be affected by exchange controls. j. You may have to pay additional costs such as fees and broker s commissions for transactions in overseas exchanges. In some jurisdictions, you may also have to pay a premium to trade certain listed investment products. Therefore, before you begin to trade, you should obtain a clear explanation of all commissions, fees and other charges for which you will be liable. These charges will affect your net profit (if any) or increase your loss. Counterparty and correspondent broker risks k. Transactions on overseas exchanges or overseas markets are generally effected by your Singapore broker through the use of foreign brokers who have trading and/or clearing rights on those exchanges. All transactions that are executed upon your instructions with such counterparties and correspondent brokers are dependent on their respective due performance of their obligations. The insolvency or default of such counterparties and correspondent brokers may lead to positions being liquidated or closed out without your consent and/or may result in difficulties in recovering your money and assets held overseas. Political, Economic and Social Developments l. Overseas markets are influenced by the political, economic and social developments in the foreign jurisdiction, which may be uncertain and may increase the risk of investing in overseas-listed investment products. (C) ACCOUNTHOLDER(S) ACKNOWLEDGEMENT By signing below, I/We confirm that I/we have provided information under Part (A) truthfully knowing that will rely on such information to offer the Citibank Brokerage Account to me/us. By providing the confirmation, I/we confirm my/our knowledge and/or experience in derivatives. I/We acknowledge that I/we have received Part (B) Risk Warning Statement For Overseas Listed Investment Products, which is provided to me in accordance with paragraph 29D of SFA04-N12. I/We have been advised to read the Risk Warning Statement carefully before making an investment decision. Name Name NRIC/Passport No.: NRIC/Passport No.: (Main Accountholder) (Joint Accountholder) _ For Bank Use Only Date of Receipt: Received by: Instruction Taken By: Signature Verified By: Co. Reg. No K Page 3 of 3 Ver

7 Form W-8BEN (Rev. February 2014) Department of the Treasury Internal Revenue Service Do NOT use this form if: Certificate of Foreign Status of Beneficial Owner for United States Tax Withholding and Reporting (Individuals) For use by individuals. Entities must use Form W-8BEN-E. Information about Form W-8BEN and its separate instructions is at Give this form to the withholding agent or payer. Do not send to the IRS. OMB No Instead, use Form: You are NOT an individual W-8BEN-E You are a U.S. citizen or other U.S. person, including a resident alien individual W-9 You are a beneficial owner claiming that income is effectively connected with the conduct of trade or business within the U.S. (other than personal services) W-8ECI You are a beneficial owner who is receiving compensation for personal services performed in the United States or W-4 A person acting as an intermediary W-8IMY Part I Identification of Beneficial Owner (see instructions) 1 Name of individual who is the beneficial owner 2 Country of citizenship 3 Permanent residence address (street, apt. or suite no., or rural route). Do not use a P.O. box or in-care-of address. City or town, state or province. Include postal code where appropriate. Country 4 Mailing address (if different from above) City or town, state or province. Include postal code where appropriate. Country 5 U.S. taxpayer identification number (SSN or ITIN), if required (see instructions) 6 Foreign tax identifying number (see instructions) 7 Reference number(s) (see instructions) 8 Date of birth (MM-DD-YYYY) (see instructions) Part II Claim of Tax Treaty Benefits (for chapter 3 purposes only) (see instructions) 9 I certify that the beneficial owner is a resident of within the meaning of the income tax treaty between the United States and that country. 10 Special rates and conditions (if applicable see instructions): The beneficial owner is claiming the provisions of Article of the treaty identified on line 9 above to claim a % rate of withholding on (specify type of income): Explain the reasons the beneficial owner meets the terms of the treaty article:. Part III Certification Under penalties of perjury, I declare that I have examined the information on this form and to the best of my knowledge and belief it is true, correct, and complete. I further certify under penalties of perjury that: I am the individual that is the beneficial owner (or am authorized to sign for the individual that is the beneficial owner) of all the income to which this form relates or am using this form to document myself as an individual that is an owner or account holder of a foreign financial institution, The person named on line 1 of this form is not a U.S. person, The income to which this form relates is: (a) not effectively connected with the conduct of a trade or business in the United States, (b) effectively connected but is not subject to tax under an applicable income tax treaty, or (c) the partner s share of a partnership's effectively connected income, The person named on line 1 of this form is a resident of the treaty country listed on line 9 of the form (if any) within the meaning of the income tax treaty between the United States and that country, and For broker transactions or barter exchanges, the beneficial owner is an exempt foreign person as defined in the instructions. Furthermore, I authorize this form to be provided to any withholding agent that has control, receipt, or custody of the income of which I am the beneficial owner or any withholding agent that can disburse or make payments of the income of which I am the beneficial owner. I agree that I will submit a new form within 30 days if any certification made on this form becomes incorrect. Sign Here Signature of beneficial owner (or individual authorized to sign for beneficial owner) Date (MM-DD-YYYY) Print name of signer Capacity in which acting (if form is not signed by beneficial owner) For Paperwork Reduction Act Notice, see separate instructions. Cat. No Z Form W-8BEN (Rev )

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