Introduction to CFD. Phillip Capital All Rights Reserved

Save this PDF as:
 WORD  PNG  TXT  JPG

Size: px
Start display at page:

Download "Introduction to CFD. Phillip Capital All Rights Reserved"

Transcription

1 Introduction to CFD Phillip Capital All Rights Reserved

2 CFD Stocks Warrants Bonds Forex

3 What is CFD? ontracts or ifference

4 Contracts for Difference A derivative product which allows you to participate in the price movement of an underlying share or index without owning the shares of the company.

5 Stocks Account ABC Company Profit BUY Profit BUY

6

7 CFD Account PROFIT ABC Company SELL PROFIT SELL BUY BUY PROFIT BUY PROFIT

8 Trading Strategy position according to changes in market conditions

9

10 1 Lot Stocks Account AAB Company YOU

11 CFD Account YOU Up to 10 X LEVERAGE

12 1 Lot CFD Account AAB Company YOU Up to 10 X LEVERAGE 10% 10% of

13 CFD Account AAB Company 1 LOT YOU Up to 10 X LEVERAGE BAA Company 4 LOTS AB Company 5 LOTS

14 Your trading strategy with Ease!

15 1. CFD is a derivative product 2. Participate in underlying price movement of a share/index without owning it 3. Buy and Sell in 1 Account 4. Up to 10 times leverage

16

17 Disclaimer These presentation slides are provided to you for general information only and does not constitute a recommendation or an offer or solicitation to purchase or sell the product mentioned. They do not have any regard to your specific investment objectives, financial situation and any of your particular needs. Accordingly, no warranty whatsoever is given and no liability whatsoever is accepted for any loss arising whether directly or indirectly as a result of you acting based on this information. Investments are subject to investment risks. The risk of loss in leveraged CFD trading can be substantial. You may sustain losses in excess of your initial funds and may be called upon to deposit additional margin funds at short notice. If the required funds are not provided within the prescribed time, your positions may be liquidated. You should also consider the commission and finance costs involved for trading CFDs. The resulting deficits in your account are subject to penalty charges. The value of investments denominated in foreign currencies may diminish or increase due to changes in the rates of exchange. You are advised to read the Terms and Conditions of CFD Trading and CFD Information Sheet before undertaking transactions in CFDs. The Terms and Conditions of CFD Trading and CFD Information Sheet can be obtained online at or from Phillip Securities Pte Ltd. You may wish to obtain advice from a qualified financial adviser, pursuant to a separate engagement, before making a commitment to purchase any of the investment products mentioned herein. In the event that you choose not to obtain advice from a qualified financial adviser, you should assess and consider whether the investment product is suitable for you before proceeding to invest and we do not offer any advice in this regard unless mandated to do so by way of a separate engagement.

18 CFDs may not be suitable for clients whose investment objective is preservation of capital and/or whose risk tolerance is low. Clients are advised to understand the nature and risks involved in margin trading. You are advised to read carefully and understand the Risk Disclosure Statement from before undertaking transactions in CFDs. Any CFD offered is not approved or endorsed by the issuer or originator of the underlying security and that the issuer or originator is not privy to the CFD contract. Phillip Securities Pte Ltd reserves the right to amend the information presented without prior notice. The Straits Times Index CFD (the Securities ) are not in any way sponsored, endorsed, sold, or promoted by FTSE International Limited, The London Stock Exchange Plc, The Financial Times Limited, SPH Data Services Pte Ltd, Singapore Press Holdings Ltd or Singapore Exchange Securities Trading Limited (collectively, the Index Sponsor ), and the Index Sponsor bears no liability in connection with the administration, marketing or trading of the Securities. No warranty or representation or guarantee of any kind whatsoever relating to the Straits Times Index (the ST Index ) or the Securities is given by the Index Sponsor. Singapore Press Holdings Ltd is entitled to all intellectual property rights in the ST Index. Some information in this presentation as been obtained from public sources which PSPL has no reason to believe are unreliable. PSPL has not verified such information and no representation or warranty, expressed or implied, is made that such information is accurate, complete or verified or should be relied upon as such.

19 This Risk Disclosure Statement does not disclose all the risks and other significant aspects of trading in Leverage Instruments. In light of the risks, you should undertake such transactions only if you understand the nature of the contracts (and contractual relationships) into which you are entering and the extent of your exposure to the risks. Trading in Leveraged Instruments may not be suitable for many members of the public. You should carefully consider whether such trading is appropriate for you in the light of your experience, objectives, financial resources and other relevant circumstances. In considering whether to trade, you should be aware of the following: (a) LEVERAGED INSTRUMENTS TRADING (1) Effect of Leverage or Gearing Transactions in Leveraged Instruments carry a high degree of risk The amount of initial margin is small relative to the value of the futures contract or leveraged foreign exchange transaction so that the transaction is highly leveraged or geared. A relatively small market movement will have a proportionately larger impact on the funds you have deposited or will have to deposit; this may work against you as well as for you. You may sustain a total loss of the initial margin funds and any additional funds deposited with the firm to maintain your position. If the market moves against your position or margin levels are increased, you may be called upon to pay substantial additional funds on short notice in order to maintain your position. If you fail to comply with a request for additional funds within the specified time, your position may be liquidated at a loss and you will be liable for any resulting deficit in your account.

20 2) Risk-Reducing Orders or Strategies The placing of certain orders (e.g. stop-loss orders, where permitted under local law, or stop-limit orders) which are intended to limit losses to certain amounts may not be effective because market conditions may make it impossible to execute such orders. At times, it is also difficult or impossible to liquidate a position without incurring substantial losses. (b) LIQUIDITY OTC Leveraged Instruments may be very illiquid and may not have any secondary market, meaning that such instruments may be difficult to be sold within a reasonable time (if at all) or at a price which reflects its objectively perceived "fair" value. For some of such instruments it may even be difficult to get any reliable independent information about the value and risks associated with such instruments

21 (c) ADDITIONAL RISKS COMMON TO OTC LEVERAGED INSTRUMENTS TRADING (i) Form 13 Risk Disclosure Before undertaking transaction in Leverage Instruments, you should also carefully read the risks stated in the Risk Disclosure Statement [required to be provided to you pursuant to section 128 (1) of the Securities and Futures Act (Cap 289)] as common to Futures, Options and Leveraged Foreign Exchange are also risks common to OTC Leveraged Instruments. (ii) Off-Exchange Transactions Without detracting from the generality of (i) above, you should particularly note that OTC Leveraged Instruments are traded on an off-exchange basis and the firm with which you conduct your transactions (which may be ourselves or another firm if we act as your broker to effect a transaction with such firm) may be acting as your counterparty to the transaction. It may be difficult or impossible to liquidate an existing position, to assess the value, to determine a fair price or to assess the exposure to risk. For these reasons, these transactions may involve increased risks. Off-exchange transactions may be less regulated or subject to a separate regulatory regime.

22 You should also note that where we act as your counterparty that this prima facie means that your loss is our gain and as such we will not in such transactions be acting as your fiduciary but in our own interests. (1) Leveraged instrument - Risk of loss can be substantial (2) Profits and Losses magnified - Depending on nature of trade, losses may be unlimited (3) Suitability - CFD may not be suitable for you if your:- a) Investment Objective is CAPITAL PRESERVATION and/or b) Risk Tolerance is LOW (4) Execution of Orders When a client places a CFD order, pre-execution checks are performed on account status, fund sufficiency, credit limit, etc. In addition, CFD orders are subject to certain risk management checks, including the ability of PSPL to hedge its own exposure under CFD positions with clients. This means that a client s CFD order may not be filled immediately or it may not be filled at all.

23 (5) Force-closure of CFD Contracts PSPL may hedge its own exposure ( Hedge Position ) under a CFD position with the client. Where PSPL s counterparty in a hedge position unwinds or closes out the Hedge Position or for any other reason PSPL is no longer able to maintain the Hedge Position, PSPL may in its absolute discretion with or without notice to the client close any or all open positions, refuse any trades, cancel any orders and fill any orders in each case at such level as PSPL may consider in good faith to be appropriate in all circumstances.

How does CFDs Work? Phillip Capital 2012. All Rights Reserved

How does CFDs Work? Phillip Capital 2012. All Rights Reserved How does CFDs Work? Phillip Capital 2012. All Rights Reserved What will we cover today? lacing a Trade rocessing a Trade Placing a Trade Going contract Long in a BUY Placing a Trade SELL Going a contract

More information

APPLICATION FOR CONTRACTS FOR DIFFERENCE (CFD) TRADING FACILITY

APPLICATION FOR CONTRACTS FOR DIFFERENCE (CFD) TRADING FACILITY Version No: V002/201100606 APPLICATION FOR CONTRACTS FOR DIFFERENCE (CFD) TRADING FACILITY A Customer s Particulars Customer Name NRIC Trading A/C No Trading Representative (TR) Code Telephone No (Home)

More information

Straits Times Index.CFD.FAQs.

Straits Times Index.CFD.FAQs. Straits Times Index.CFD.FAQs. Co Registration No: 197501035Z CONTRACTS FOR DIFFERENCE (www.phillipcfd.com) U p d a t e d 6 O c t 2 009 Contract Details for Straits Times Index CFD Product Value of 1 Index

More information

Aperture LLC, d.b.a OptionsHouse 10 S. Riverside Plaza Chicago, IL Ph.: Risk Disclosure Statement for Futures and Options

Aperture LLC, d.b.a OptionsHouse 10 S. Riverside Plaza Chicago, IL Ph.: Risk Disclosure Statement for Futures and Options Aperture LLC, d.b.a OptionsHouse 10 S. Riverside Plaza Chicago, IL 60606 Ph.: 866-795-0160 Risk Disclosure Statement for Futures and Options This brief statement does not disclose all of the risks and

More information

Client Acknowledgement. Risk Warning Notice for CFDs

Client Acknowledgement. Risk Warning Notice for CFDs Please read this document fully. IMPORTANT NOTICE Client Acknowledgement Clients (including account applicants) of CMC Markets Singapore Pte. Ltd. ( CMC Markets ) should be aware of the risks involved

More information

CLSA FUTURES LIMITED FUTURES/OPTIONS TRADING SERVICES ANNEX

CLSA FUTURES LIMITED FUTURES/OPTIONS TRADING SERVICES ANNEX CLSA FUTURES LIMITED FUTURES/OPTIONS TRADING SERVICES ANNEX 1. Definitions and Interpretation 1.1 Subject to Clauses 1.2 and 1.3 below, in this CLSA Futures Limited - Futures/Options Trading Services Annex,

More information

Plus500 Ltd. Risk Disclosure Notice

Plus500 Ltd. Risk Disclosure Notice Plus500 Ltd Risk Disclosure Notice Risk Disclosure Notice CFD s can put your capital at risk if used in a speculative manner. CFD s are categorized as high risk by some regulatory authorities as there

More information

RISK DISCLOSURE STATEMENT

RISK DISCLOSURE STATEMENT RISK DISCLOSURE STATEMENT 1. Purpose The purpose of this Statement is to provide to the Client appropriate guidance on the nature and risks of the specific type of financial instrument that are offered

More information

6-Year USD Call Spread Notes on the 5 Year USD Swap Rate

6-Year USD Call Spread Notes on the 5 Year USD Swap Rate 6-Year USD Call Spread Notes on the 5 Year USD Swap Rate - NON-US INVESTORS ONLY - - PRIVATE PLACEMENT ONLY - NO PUBLIC DISTRIBUTION - Final Termsheet as of November 2, 2015 (Version 2.00) All material

More information

Beginner s Guide to CFDs

Beginner s Guide to CFDs Saxo Academy Beginner s Guide to CFDs Chapters 1.1-1.3 academy.tradingfloor.com CFDs Chapter 1.1 / A Basic Description Welcome to this chapter, which will give a brief introduction to the history of CFDs.

More information

Contracts for Difference (CFDs)

Contracts for Difference (CFDs) Contract for Difference (CFDs) and FCA Disclosure Requirements What are Contract for Difference (CFDs) CFDs (also known as Synthetic Equity Swaps (SES)) are Over the Counter (OTC) transactions which allow

More information

Risk Disclosure For Contracts For Difference & Non-Deliverable Forwards

Risk Disclosure For Contracts For Difference & Non-Deliverable Forwards Risk Disclosure For Contracts For Difference & Non-Deliverable Forwards FX Central Clearing (FXCC) Amorosa Centre, 2nd floor 2 Samou Street 4043 Yermasoyia, Limassol, Cyprus Tel: +357 25 870 750, Fax:

More information

Risk Warning Notice for Contracts for Difference ( CFDs ) and Spot Foreign Exchange ( Forex )

Risk Warning Notice for Contracts for Difference ( CFDs ) and Spot Foreign Exchange ( Forex ) Risk Warning Notice for Contracts for Difference ( CFDs ) and Spot Foreign Exchange ( Forex ) 1. INTRODUCTION 1.1. TradingForex.com is a domain owned and operated by TTCM Traders Trust Capital Markets

More information

RISK DISCLOSURE AND WARNINGS NOTICE

RISK DISCLOSURE AND WARNINGS NOTICE RISK DISCLOSURE AND WARNINGS NOTICE 1. Introduction 1.1. This risk disclosure and warning notice is provided to you (our Client and prospective Client) in compliance to the Provision of Investment Services,

More information

Maturity The date where the issuer must return the principal or the face value to the investor.

Maturity The date where the issuer must return the principal or the face value to the investor. PRODUCT INFORMATION SHEET - BONDS 1. WHAT ARE BONDS? A bond is a debt instrument issued by a borrowing entity (issuer) to investors (lenders) in return for lending their money to the issuer. The issuer

More information

RISK DISCLOSURE STATEMENT PRODUCT INFORMATION

RISK DISCLOSURE STATEMENT PRODUCT INFORMATION This statement sets out the risks in trading certain products between Newedge Group ( NEWEDGE ) and the client (the Client ). The Client should note that other risks will apply when trading in emerging

More information

RISK DISCLOSURE AND WARNINGS NOTICE

RISK DISCLOSURE AND WARNINGS NOTICE RISK DISCLOSURE AND WARNINGS NOTICE Contents 1. Introduction... 3 2. Charges and Taxes... 3 3. Third Party Risks... 3 4. Insolvency... 3 5. Investor Compensation Fund... 4 6. Technical Risks... 4 7. Trading

More information

Risk Explanation for Exchange-Traded Derivatives

Risk Explanation for Exchange-Traded Derivatives Risk Explanation for Exchange-Traded Derivatives The below risk explanation is provided pursuant to Hong Kong regulatory requirements relating to trading in exchange-traded derivatives by those of our

More information

RISK DISCLOSURE AND WARNINGS NOTICE

RISK DISCLOSURE AND WARNINGS NOTICE RISK DISCLOSURE AND WARNINGS NOTICE 1. Introduction 1.1 This risk disclosure and warning notice is provided to you (our Client and prospective Client) in compliance to the Provision of Investment Services,

More information

EDR Financial LTD RISK DISCLOSURE POLICY EDR FINANCIAL LIMITED. CYSEC License Number 268/15

EDR Financial LTD RISK DISCLOSURE POLICY EDR FINANCIAL LIMITED. CYSEC License Number 268/15 RISK DISCLOSURE POLICY EDR FINANCIAL LIMITED CYSEC License Number 268/15 1 P a g e Contents 1. Introduction... 3 2. Scope of the Policy... 3 3. General Risk Warning... 3 4. Technical Risks... 4 5. Trading

More information

Plus500AU Pty Limited. Risk Disclosure Notice

Plus500AU Pty Limited. Risk Disclosure Notice Plus500AU Pty Limited Risk Disclosure Notice Risk Disclosure Notice Trading in margin contracts (including CFDs) involves the potential for profit as well as the risk of loss of your initial investment

More information

CAD 3,000,000 Phoenix Autocallable Notes due April 9, 2015 Final Terms & Conditions

CAD 3,000,000 Phoenix Autocallable Notes due April 9, 2015 Final Terms & Conditions Royal Bank of Canada Europe Limited 71 Queen Victoria Street London EC4V 4DE Switchboard: +44 (0)20 7489 1188 Facsimile: +44 (0)20 7329 6144 CAD 3,000,000 Phoenix Autocallable Notes due April 9, 2015 Final

More information

RISKS DISCLOSURE STATEMENT

RISKS DISCLOSURE STATEMENT RISKS DISCLOSURE STATEMENT You should note that there are significant risks inherent in investing in certain financial instruments and in certain markets. Investment in derivatives, futures, options and

More information

Hong Kong Market Annex Risk Disclosure Statement

Hong Kong Market Annex Risk Disclosure Statement Hong Kong Market Annex Risk Disclosure Statement This Risk Disclosure Statement does not disclose all of the risks and other significant aspects of trading in securities, futures and options. In light

More information

Individual Trading Agreement

Individual Trading Agreement Individual Trading Agreement Trader Account Letter This is a legal contract between Foreign Exchange Clearing House Ltd ( FXCH ), its successors and assigns, and the party (or parties) executing this document.

More information

CLIENT AGREEMENT FOR FUTURES AND OPTIONS TRADING

CLIENT AGREEMENT FOR FUTURES AND OPTIONS TRADING Exchange Participants of The Stock Exchange of Hong Kong Limited Registered Dealer with the Securities and Futures Commission (CE No. AFY561) CLIENT AGREEMENT FOR FUTURES AND OPTIONS TRADING For office

More information

RISK DISCLOSURE STATEMENT

RISK DISCLOSURE STATEMENT RISK DISCLOSURE STATEMENT You should note that there are significant risks inherent in investing in certain financial instruments and in certain markets. Investment in derivatives, futures, options and

More information

Maybank Kim Eng Securities Pte Ltd Terms and Conditions

Maybank Kim Eng Securities Pte Ltd Terms and Conditions Maybank Kim Eng Securities Pte Ltd Terms and Conditions Risk Disclosure Statement Telephone Email Website : (65) 6432 1888 (Singapore and Overseas) : helpdesk@maybank-ke.com.sg : www.maybank-ke.com.sg

More information

SAMPLE FUND, LP FINANCIAL STATEMENTS DECEMBER 31, 2015

SAMPLE FUND, LP FINANCIAL STATEMENTS DECEMBER 31, 2015 FINANCIAL STATEMENTS CONTENTS INDEPENDENT AUDITOR S REPORT 1 STATEMENT OF FINANCIAL CONDITION 2 CONDENSED SCHEDULE OF INVESTMENTS 3-4 STATEMENT OF OPERATIONS 5 STATEMENT OF CHANGES IN PARTNERS CAPITAL

More information

is held and maintained at GAIN Capital who serves as the clearing agent and counterparty to your trades. GAIN Capital is a

is held and maintained at GAIN Capital who serves as the clearing agent and counterparty to your trades. GAIN Capital is a Last updated July 2, 2015 FOREX RISK DISCLOSURE STATEMENT Forex trading involves significant risk of loss and is not suitable for all investors. Increasing leverage increases risk. Before deciding to trade

More information

CFD Account Application and / or CFD (DMA) Opt In Form. Trading A/C No. NRIC TR Code. Client Name (H) (O) (HP)

CFD Account Application and / or CFD (DMA) Opt In Form. Trading A/C No. NRIC TR Code. Client Name (H) (O) (HP) CFD Account Application Form and / or CFD (DMA) Opt In Form Updated version Mar 2009 Application for Contracts For Difference (CFD) Trading Facility [This form is applicable for existing Phillip Securities

More information

5 Year NOK Phoenix Worst Of Autocallable Certificates on Share Basket

5 Year NOK Phoenix Worst Of Autocallable Certificates on Share Basket 5 Year NOK Phoenix Worst Of Autocallable Certificates on Share Basket - NON-US INVESTORS ONLY - NON-PRINCIPAL PROTECTED - Final Terms and Conditions as of March 18, 2016 (Version 2.01) All material herein

More information

Complex Products. Non-Complex Products. General risks of trading

Complex Products. Non-Complex Products. General risks of trading We offer a wide range of investments, each with their own risks and rewards. The following information provides you with a general description of the nature and risks of the investments that you can trade

More information

Investing in Offshore Securities Agreement & Risk Disclosure Statement for Investing in Offshore Securities 1

Investing in Offshore Securities Agreement & Risk Disclosure Statement for Investing in Offshore Securities 1 Investing in Offshore Securities Agreement & Risk Disclosure Statement for Investing in Offshore Securities 1 This agreement is made at Maybank Kim Eng Securities (Thailand) PCL. This agreement is made

More information

RISK DISCLOSURE STATEMENT

RISK DISCLOSURE STATEMENT RISK DISCLOSURE STATEMENT In consideration of UBFS invest powered by Moneychoice Brokers Ltd (hereafter the Company ) agreeing to enter into over-the-counter ( OTC ) contracts for differences ( CFDs )

More information

Risk Disclosure Statement

Risk Disclosure Statement Risk Disclosure Statement IMPORTANT INFORMATION Retail forex transactions involve the leveraged trading of contracts denominated in foreign currency with Kaiser Brokers as your counterparty.because of

More information

Warrants issued pursuant to these Final Terms are securities to be listed under Listing Rule 19. HSBC Bank plc

Warrants issued pursuant to these Final Terms are securities to be listed under Listing Rule 19. HSBC Bank plc Warrants issued pursuant to these Final Terms are securities to be listed under Listing Rule 19. Final Terms dated: 28 May 2013 Series No.: NWP 29509 Tranche No.: 1 HSBC Bank plc Programme for the Issuance

More information

2010 Portfolio Management Guidelines

2010 Portfolio Management Guidelines 2010 Portfolio Management Guidelines Preamble The Board of Directors of the Swiss Bankers Association has adopted these Guidelines in order to maintain and enhance the reputation and high quality of Swiss

More information

RISK DISCLOSURE AND ACKNOWLEDGEMENT

RISK DISCLOSURE AND ACKNOWLEDGEMENT RISK DISCLOSURE AND ACKNOWLEDGEMENT TeleTrade - DJ International Consulting Ltd May 2012 2011-2013 TeleTrade-DJ International Consulting Ltd. 1 Introduction TeleTrade-DJ International Consulting Ltd (hereinafter

More information

Terms and Conditions. Mex-n Limited Partnership.

Terms and Conditions. Mex-n Limited Partnership. Terms and Conditions Mex-n Limited Partnership E-mail: mexngroup@gmail.com 1 Table of Contents Page INTRODUCTION... 3 ACKNOWLEDGEMENT... 3 SCOPE OF THE TERMS AND CONDITIONS OF BUSINESS... 3 INTERPRETATION

More information

SERIES 529 PREFERENCE SHARE TERMS AND CONDITIONS

SERIES 529 PREFERENCE SHARE TERMS AND CONDITIONS SERIES 529 PREFERENCE SHARE TERMS AND CONDITIONS The following are the terms and conditions (the Conditions) of the Series 529 Index linked redeemable preference shares (the Preference Shares) issued by

More information

CONTRACT FOR DIFFERENCE ( CFD ): MANDATE GENERAL TERMS AND CONDITIONS

CONTRACT FOR DIFFERENCE ( CFD ): MANDATE GENERAL TERMS AND CONDITIONS ONLINE SECURITIES LIMITED 1 st Floor Roland Garros The Campus 57 Sloane Str, Bryanston 2191 PO Box 1899 Witkoppen Tel: 011 996 5200 Fax: 011 996 5499 Website: www.psgonline.co.za CONTRACT FOR DIFFERENCE

More information

SSgA SPDR ETFs EUROPE II PLC SPDR RUSSELL 2000 U.S. SMALL CAP UCITS ETF

SSgA SPDR ETFs EUROPE II PLC SPDR RUSSELL 2000 U.S. SMALL CAP UCITS ETF SSgA SPDR ETFs EUROPE II PLC SPDR RUSSELL 2000 U.S. SMALL CAP UCITS ETF Supplement No. 18 12 February 2015 (A sub-fund of SSgA SPDR ETFs Europe II plc, an open-ended investment company constituted as an

More information

World Indices.CFD.Infosheet.

World Indices.CFD.Infosheet. World Indices..Infosheet. Singapore Ho ng Kong Japan Taiwan United States Co Registration No: 197501035Z CONTR AC TS FO R DIFF ERENCE (w w w.phillipcfd.com) U p d a t e d 1 8 N o v e m b e r 2 011 1. What

More information

Terms and Conditions

Terms and Conditions Risk Disclosure PriorFX Ltd (hereafter the Company ) is an Investment Firm authorized and regulated by the Cyprus Securities and Exchange Commission (hereafter the CySEC ) under the Licence number 221/13.

More information

Call Spread Warrant on FTSE100

Call Spread Warrant on FTSE100 Call Spread Warrant on FTSE100 TERMS AND CONDITIONS Launch Date 29 th March 2011 Issue Date 6 th April 2011 Issuer Guarantor Manager Warrant Agent Paying agent Underlying Type Settlement Price SGA, Société

More information

TERMS AND CONDITIONS GOVERNING SECURITIES TRADING ACCOUNTS

TERMS AND CONDITIONS GOVERNING SECURITIES TRADING ACCOUNTS TERMS AND CONDITIONS GOVERNING SECURITIES TRADING ACCOUNTS The following risk disclosure statement and general terms and conditions shall govern the relationship between Lim & Tan Securities Pte Ltd and

More information

RISK DISCLOSURE DOCUMENT

RISK DISCLOSURE DOCUMENT RISK DISCLOSURE DOCUMENT Version 1.0 : June,25 th,2015 Copyright IBA Markets 2015. All Rights Reserved RISK DISCLOSURE International Brokers Association Markets, a brand of SIR GLOBAL LTD (the Company

More information

Plus500CY Ltd. Risk Disclosure Notice

Plus500CY Ltd. Risk Disclosure Notice Plus500CY Ltd. Risk Disclosure Notice Risk Disclosure Notice CFD s can put your capital at risk if used in a speculative manner. CFD s are categorized as high risk by some regulatory authorities as there

More information

APPENDIX: RISK DISCLOSURES AND OTHER INFORMATION OF SHANGHAI-HONG KONG STOCK CONNECT

APPENDIX: RISK DISCLOSURES AND OTHER INFORMATION OF SHANGHAI-HONG KONG STOCK CONNECT APPENDIX: RISK DISCLOSURES AND OTHER INFORMATION OF SHANGHAI-HONG KONG STOCK CONNECT This Appendix describes some of the key risk factors concerning Stock Connect based on the Company s current understanding

More information

PRODUCT DISCLOSURE STATEMENT

PRODUCT DISCLOSURE STATEMENT PRODUCT DISCLOSURE STATEMENT Margin FX Contracts and CFDs Issuer: Goldland Capital Group Pty Ltd ABN 76 162 331 311 Australian Financial Services Licence No. 436416 Date: 8 September 2015 Page 1 TABLE

More information

SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One.

SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One. SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One FINAL Term Sheet South Australian Government Financing Authority State Administration

More information

Important Notice of Trading Shanghai A Shares and A Shares Margin Trading via Shanghai-Hong Kong Stock Connect

Important Notice of Trading Shanghai A Shares and A Shares Margin Trading via Shanghai-Hong Kong Stock Connect Important Notice of Trading Shanghai A Shares and A Shares Margin Trading via Shanghai-Hong Kong Stock Connect Please be informed that the followings are applicable to any transactions in relation to trading

More information

Risk Disclosure. Market swings: swing is a sudden shift in the price of an underlying asset price from one level to another.

Risk Disclosure. Market swings: swing is a sudden shift in the price of an underlying asset price from one level to another. Risk Disclosure 1. Introduction This risk disclosure and warning notice is provided to you (our Client and prospective Client) in compliance to the Provision of Investment Services, the Exercise of Investment

More information

Warrants on GBP/EUR Exchange Rate

Warrants on GBP/EUR Exchange Rate Warrants on /EUR Exchange Rate INDICATIVE TERMS AND CONDITIONS This document must be read in conjunction with the Securitised Derivatives Programme Base Prospectus dated 25 June 2012 (the Base Prospectus

More information

YIELD X CURRENCY FUTURES BROCHURE JUNE 2009

YIELD X CURRENCY FUTURES BROCHURE JUNE 2009 1 YIELD X CURRENCY FUTURES BROCHURE JUNE 2009 2 Currency Futures for corporate clients The Currency Futures market on the JSE was implemented in order to further develop South Africa s financial markets

More information

CFD Product Disclosure Statement Marketmaker TM (PDS)

CFD Product Disclosure Statement Marketmaker TM (PDS) CMC Markets Asia Pacific Pty Ltd CFD Product Disclosure Statement Marketmaker TM (PDS) 28 June 2013 AFSL No. 238054 and ABN 11 100 058 213 Table of Contents Table of contents 01 Important information 5

More information

Further Risks Applicable to All Users of Our Site.

Further Risks Applicable to All Users of Our Site. GS Sharestocks Ltd (hereinafter the "Company"), is an Investment Firm regulated by the Cyprus Securities and Exchange Commission (CySEC) under authorization number 262/14, and offers the products and services

More information

HF Markets Ltd. 100% SUPERCHARGED BONUS TERMS AND CONDITIONS

HF Markets Ltd. 100% SUPERCHARGED BONUS TERMS AND CONDITIONS HF Markets Ltd. 100% SUPERCHARGED BONUS TERMS AND CONDITIONS October 2014 100% SuperCharged Bonus Terms and Conditions The 100% SuperCharged Bonus Program is two bonus programs in one: 100% SuperCharged

More information

Content. Executive Summary. What is a CFD? Who are the participants? Advantages of trading CFDs. Features and benefits of CFDs. Reasons for using CFDs

Content. Executive Summary. What is a CFD? Who are the participants? Advantages of trading CFDs. Features and benefits of CFDs. Reasons for using CFDs Corporate Retail Contracts and Investment for Difference Banking Content Executive Summary What is a CFD? Who are the participants? Advantages of trading CFDs Features and benefits of CFDs Reasons for

More information

1-MONTH EUR DUAL CURRENCY DEPOSIT ( DCD )

1-MONTH EUR DUAL CURRENCY DEPOSIT ( DCD ) 1-MONTH EUR DUAL CURRENCY DEPOSIT ( DCD ) DCD is a currency option linked deposit designed to enable Investors to potentially earn a higher coupon compared with ordinary time deposits. In exchange for

More information

HF Markets Europe Ltd. RISKS ASSOCIATED WITH TRANSACTIONS IN DERIVATIVE FINANCIAL INSTRUMENTS (CFDS)

HF Markets Europe Ltd. RISKS ASSOCIATED WITH TRANSACTIONS IN DERIVATIVE FINANCIAL INSTRUMENTS (CFDS) HF Markets Europe Ltd. RISKS ASSOCIATED WITH TRANSACTIONS IN DERIVATIVE FINANCIAL INSTRUMENTS (CFDS) May 2014 Risks associated with transactions in Derivative Financial Instruments (CFDs) WARNING: It is

More information

9 Questions Every ETF Investor Should Ask Before Investing

9 Questions Every ETF Investor Should Ask Before Investing 9 Questions Every ETF Investor Should Ask Before Investing 1. What is an ETF? 2. What kinds of ETFs are available? 3. How do ETFs differ from other investment products like mutual funds, closed-end funds,

More information

The Scottish Investment Trust PLC

The Scottish Investment Trust PLC The Scottish Investment Trust PLC INVESTOR DISCLOSURE DOCUMENT This document is issued by SIT Savings Limited (the Manager ) as alternative investment fund manager for The Scottish Investment Trust PLC

More information

PRODUCT DISCLOSURE STATEMENT Spot Forex, FX Options and CFDs

PRODUCT DISCLOSURE STATEMENT Spot Forex, FX Options and CFDs GAIN Capital FOREX.com Australia Pty Ltd ACN 138 414 605 Level 1, 62 Pitt Street, Sydney, NSW 2000 PRODUCT DISCLOSURE STATEMENT Spot Forex, FX Options and CFDs AUSTRALIAN FINANCIAL SERVICES LICENCE NO:

More information

Our authorisation and permission details can be found on the FCA website at www.fca.gov.uk.

Our authorisation and permission details can be found on the FCA website at www.fca.gov.uk. is authorised and regulated by the Financial Conduct Authority (FCA), FRN: 595450. We are also regulated under the Market in Financial Instruments Directive (MiFID) in regards to other offices within the

More information

PRODUCT DISCLOSURE STATEMENT CONTRACTS FOR DIFFERENCE

PRODUCT DISCLOSURE STATEMENT CONTRACTS FOR DIFFERENCE STA Global Investments Pty Ltd (ACN 158 641 064) Trading as Trade.com Level 29, 66 Goulburn Street Sydney NSW 2000 Australia PRODUCT DISCLOSURE STATEMENT CONTRACTS FOR DIFFERENCE AUSTRALIAN FINANCIAL SERVICES

More information

NATIONAL INSTRUMENT COMMODITY POOLS

NATIONAL INSTRUMENT COMMODITY POOLS 6.1.2 National Instrument 81-104 Commodity Pools NATIONAL INSTRUMENT 81-104 COMMODITY POOLS PART 1 DEFINITIONS, APPLICATION AND INTERPRETATION 1.1 Definitions (1) In this Instrument "Canadian Securities

More information

Financial Instruments shall mean Forex, Contracts for Difference (CFD) or any other derivative product.

Financial Instruments shall mean Forex, Contracts for Difference (CFD) or any other derivative product. MaxFX is a trade name of TopFX Ltd, which is registered as a Cyprus Investment Firm (CIF) and licensed by the Cyprus Securities and Exchange Commission (CySEC) under licence number 138/11 in accordance

More information

Risk Warning Notice. Introduction

Risk Warning Notice. Introduction First Equity Limited Salisbury House London Wall London EC2M 5QQ Tel 020 7374 2212 Fax 020 7374 2336 www.firstequity.ltd.uk Risk Warning Notice Introduction You should not invest in any investment product

More information

GCM Prime Ltd. Risk Warning

GCM Prime Ltd. Risk Warning GCM Prime Ltd Risk Warning IMPORTANT PLEASE READ CAREFULLY You should consider the following risks before using our services. This notice cannot disclose all of the risks and you should not use our services

More information

Macquarie Shorting. Product Disclosure Statement 15 JUNE 2015

Macquarie Shorting. Product Disclosure Statement 15 JUNE 2015 Macquarie Shorting Product Disclosure Statement 15 JUNE 2015 Macquarie Bank Limited. ABN 46 008 583 542. Australian Financial Services Licence No. 237502. 1 This PDS This product disclosure statement (

More information

Terms of Use & Privacy Policy

Terms of Use & Privacy Policy Terms of Use & Privacy Policy These terms and conditions apply to your access and use of the Registration website and the Live Streaming website to UOB Privilege Conversations Live Webcast(collectively

More information

Leverate Financial Services Ltd (Regulated by the Cyprus Securities and Exchange Commission License no. 160/11) WARNING AND RISK DISCLOSURES

Leverate Financial Services Ltd (Regulated by the Cyprus Securities and Exchange Commission License no. 160/11) WARNING AND RISK DISCLOSURES Leverate Financial Services Ltd (Regulated by the Cyprus Securities and Exchange Commission License no. 160/11) WARNING AND RISK DISCLOSURES 2014 WARNINGS AND RISK DISCLOSURES The Site and brand name RoyalPip

More information

Interactive Futures Derivatives Co., Ltd.

Interactive Futures Derivatives Co., Ltd. Interactive Futures Derivatives Co., Ltd. CUSTOMERS TRADING AGREEMENT INDIVIDUAL OPENING ACCOUNT DOCUMENTATION TABLE OF CONTENTS... 1 INSTRUCTIONS... 2 PROCEDURES FOR OPENING INDIVIDUAL TRADING ACCOUNT...

More information

CONTRACTS FOR DIFFERENCE

CONTRACTS FOR DIFFERENCE PRODUCT DISCLOSURE STATEMENT CONTRACTS FOR DIFFERENCE Halifax Investment Services Limited Australian Financial Services Licence No. 225973 Date 20th October 2014 HALIFAX Product Disclosure Statement 1

More information

Section 1 Important Information... 2. Section 2 Regulatory Guide 227... 2. Section 3 Features... 3. Section 4 How to Trade... 8

Section 1 Important Information... 2. Section 2 Regulatory Guide 227... 2. Section 3 Features... 3. Section 4 How to Trade... 8 CONTENTS Section 1 Important Information... 2 Section 2 Regulatory Guide 227... 2 Section 3 Features... 3 Section 4 How to Trade... 8 Section 5 Significant Risks... 32 Section 6 Costs, Fees & Charges...

More information

Non-Complex Products. Complex Products. General risks of trading

Non-Complex Products. Complex Products. General risks of trading We offer a wide range of investments, each with their own risks and rewards. The following information provides you with a general description of the nature and risks of the investments that you can trade

More information

RISK DISCLOSURE NOTICE

RISK DISCLOSURE NOTICE RISK DISCLOSURE NOTICE www.walbrookcapitalmarkets.com Equities Futures Options FX CFDs Fixed Income SECTION 1 / INTRODUCTION This Risk Disclosure Notice has been produced by Walbrook Capital Markets Limited

More information

KERFORD INVESTMENTS (UK) LTD. Authorised and Regulated by the Financial Services Authority (FSA) PRIVATE CLIENT CUSTOMER AGREEMENT

KERFORD INVESTMENTS (UK) LTD. Authorised and Regulated by the Financial Services Authority (FSA) PRIVATE CLIENT CUSTOMER AGREEMENT . PRIVATE CLIENT CUSTOMER AGREEMENT Client Account Letter 1. Account Opening Instructions. Individuals: Please complete pages 3, 7 and 8. Kindly include one proof of identification (ie copy of passport)

More information

T+3: Re-shaping the microstructure of the Russian stock market

T+3: Re-shaping the microstructure of the Russian stock market T+3: Re-shaping the microstructure of the Russian stock market MICEX-RTS Securities Market Overview 200 Cash equity & Fixed Income turnover (US$bn) 1 150 100 50-2009/I 2009/II 2009/III 2009/IV 2010/I 2010/II

More information

BLACKWELL GLOBAL INVESTMENTS LIMITED. Risk Disclosure

BLACKWELL GLOBAL INVESTMENTS LIMITED. Risk Disclosure Risk Disclosure Introduction Blackwell Global Investments Limited (the Company ), is incorporated in the British Virgin Islands. The company is registered as a BVI Business Company under company number

More information

RISK DISCLOSURE STATEMENT

RISK DISCLOSURE STATEMENT RISK DISCLOSURE STATEMENT 1. Trading in margined FX involves a high degree of risk including the risk of loss of the Customer s entire Risk Capital deposited with PTFX. Losses, in some cases, have the

More information

Terms and Conditions for Accounts under Wealth Management Investment Portfolio (Wealth Management Accounts)

Terms and Conditions for Accounts under Wealth Management Investment Portfolio (Wealth Management Accounts) Terms and Conditions for Accounts under Wealth Management Investment Portfolio (Wealth Management Accounts) 1 Content Page A. General Risk Disclosure Statement and Disclaimer 3 B. General Terms and Conditions

More information

26 th November, 2014. IC Markets CFDs and FOREX (etoro) PRODUCT DISCLOSURE STATEMENT

26 th November, 2014. IC Markets CFDs and FOREX (etoro) PRODUCT DISCLOSURE STATEMENT IC Markets CFDs and FOREX (etoro) PRODUCT DISCLOSURE STATEMENT International Capital Markets Pty Limited ABN 12 123 289 109 Australian Financial Services Licence No. 335 692 26 th November, 2014 International

More information

CORPORATE OR LIMITED LIABILITY COMPANY APPLICATION AND CUSTOMER AGREEMENT

CORPORATE OR LIMITED LIABILITY COMPANY APPLICATION AND CUSTOMER AGREEMENT CORPORATE OR LIMITED LIABILITY COMPANY APPLICATION AND CUSTOMER AGREEMENT Rev. April 2015 Account Opening Instructions Ironbeam, Inc. Ironbeam, Inc. relies on the information provided in this application

More information

STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LIMITED

STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LIMITED This document is issued by Standard Life Investments Property Income Trust Limited (the "Company") and is made available by Standard Life Investments (Corporate Funds) Limited (the AIFM ) solely in order

More information

WELCOME SALE/REPURCHASE PROGRAM 8/8/2014. Wireless Internet Information For Meeting Rooms User Name: NSAC2014 Password: OMNI2014

WELCOME SALE/REPURCHASE PROGRAM 8/8/2014. Wireless Internet Information For Meeting Rooms User Name: NSAC2014 Password: OMNI2014 WELCOME Wireless Internet Information For Meeting Rooms User Name: NSAC2014 Password: OMNI2014 To Access Session Materials nsac.cnf.io GRAIN SALE/REPURCHASE PROGRAM Agricultural and Economic Outlook Meeting

More information

RISK DISCLOSURE STATEMENT FOR FOREX TRADING AND IB MULTI- CURRENCY ACCOUNTS

RISK DISCLOSURE STATEMENT FOR FOREX TRADING AND IB MULTI- CURRENCY ACCOUNTS RISK DISCLOSURE STATEMENT FOR FOREX TRADING AND IB MULTI- CURRENCY ACCOUNTS Rules of the U.S. National Futures Association ("NFA") require Interactive Brokers ("IB") to provide you with the following Risk

More information

The Royal Bank of Scotland plc

The Royal Bank of Scotland plc 5 October 2011 The Royal Bank of Scotland plc (Incorporated in Scotland with limited liability under the Companies Acts 1948 to 1980, registered number SCO90312) 200 Put Warrants linked to the performance

More information

ARUDA PTY LTD. PRODUCT DISCLOSURE STATEMENT Over- the- Counter Contracts for Difference. Online Trading Facility. Issue Date: 28 May 2012 V5.

ARUDA PTY LTD. PRODUCT DISCLOSURE STATEMENT Over- the- Counter Contracts for Difference. Online Trading Facility. Issue Date: 28 May 2012 V5. ARUDA PTY LTD PRODUCT DISCLOSURE STATEMENT Over- the- Counter Contracts for Difference Online Trading Facility Issue Date: 28 May 2012 V5. IMPORTANT INFORMATION Financial Services are provided by Aruda

More information

Interactive Brokers Hong Kong Agreement for Advisors Providing Services to Interactive Brokers Clients

Interactive Brokers Hong Kong Agreement for Advisors Providing Services to Interactive Brokers Clients Interactive Brokers Hong Kong Agreement for Advisors Providing Services to Interactive Brokers Clients This Agreement is entered into between Interactive Brokers Hong Kong Ltd ("IB") and the undersigned

More information

An Offer of Contracts for Difference on the Next Generation Platform

An Offer of Contracts for Difference on the Next Generation Platform CMC Markets NZ Limited Product Disclosure Statement An Offer of Contracts for Difference on the Next Generation Platform 18 July 2015 This document provides important information about contracts for difference

More information

STANDARD LIFE EUROPEAN PRIVATE EQUITY TRUST PLC

STANDARD LIFE EUROPEAN PRIVATE EQUITY TRUST PLC This document is issued by Standard Life European Private Equity Trust PLC (the "Company") and is made available by SL Capital Partners LLP (the AIFM ) solely in order to make certain particular information

More information

SuperTradingOnline Risk Disclosure. Version: 3.0 Date: May 2015 STO Cyprus

SuperTradingOnline Risk Disclosure. Version: 3.0 Date: May 2015 STO Cyprus SuperTradingOnline Risk Disclosure Version: 3.0 Date: May 2015 STO Cyprus RISK DISCLOSURE AFX Capital Markets Ltd. ( AFX, we, us, our ) trading as SuperTradingOnline (STO) is authorised and regulated by

More information

RISK DISCLOSURE. Version: 1.0. Date: April. 2014

RISK DISCLOSURE. Version: 1.0. Date: April. 2014 RISK DISCLOSURE Version: 1.0 Date: April. 2014 RISK DISCLOSURE. (, we, us, our ) is authorised and regulated by the New Zealand Financial Service Providers (NZFSP) under licence number 119/10 and registration

More information

Terms and Conditions

Terms and Conditions Terms and Conditions 1. TABLE OF CONTENTS 1. TABLE OF CONTENTS 2. SERVICES OFFERED TO THE CUSTOMER 3. EXECUTION-ONLY ARRANGEMENTS 4. YOUR INVESTMENT OBJECTIVES 5. RESTRICTIONS ON TYPES OF INVESTMENT 6.

More information

Nikko Asset Management to List Currency Hedged and Non-Hedged US Bond ETFs

Nikko Asset Management to List Currency Hedged and Non-Hedged US Bond ETFs PRESS RELEASE AUGUST 10, 2016 NIKKO ASSET MANAGEMENT CO., LTD. Nikko Asset Management to List Currency Hedged and Non-Hedged US Bond ETFs Listed Index Fund US Bond (Currency Hedge) / (No Currency Hedge)

More information

The Merchant Securities FTSE 100. Hindsight II Note PRIVATE CLIENT ADVISORY

The Merchant Securities FTSE 100. Hindsight II Note PRIVATE CLIENT ADVISORY The Merchant Securities FTSE 100 Hindsight II Note Our first FTSE-100 Hindsight Note is now fully subscribed; however, as a result of exceptional investor demand we are launching the FTSE- 100 Hindsight

More information

SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) EMIR DISCLOSURE

SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) EMIR DISCLOSURE SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) EMIR DISCLOSURE 1 INTRODUCTION 1.1 Under Article 39(5) of the European Market Infrastructure Regulation ( EMIR ), EU Central Counterparties ( CCPs ) and their clearing

More information