APPLICATION TO OPEN SECURITIES TRADING ACCOUNT (INDIVIDUAL)

Size: px
Start display at page:

Download "APPLICATION TO OPEN SECURITIES TRADING ACCOUNT (INDIVIDUAL)"

Transcription

1 AFFIN INVESTMENT BANK BERHAD (9999-V) A Participating Organisation of Bursa Malaysia Securities Berhad Stockbroking Division Princiapl Office 27 th Floor, Menara Boustead,. 69 Jalan Raja Chulan, Kuala Lumpur, Malaysia. Tel: Fax: Stockroking Branches Chulan Tower : Ground, Mezzanine & 3 rd Floor, Chulan Tower,.3, Jalan Conlay, Kuala Lumpur, Malaysia. Tel: Fax: Klang : 3 rd & 4 th Floor,. 1 Lintang Pekan Baru, off Jalan Meru, Klang, Selangor, Malaysia. Tel: Fax: The Curve : Lot 229, 2 nd Floor, The Curve,. 6, Jalan PJU 7/3, Mutiara Damansara, Petaling Jaya, Selangor, Malaysia. Tel: Fax: Websites : / APPLICATION TO OPEN SECURITIES TRADING ACCOUNT (INDIVIDUAL) Instruction to complete this application form :- 1. Complete all applicable fields on this application form and tick ( ) or delete whichever is appropriate or not applicable 2. Please read and understand the Terms and Conditions, Guidelines and any supplementary Terms and Conditions in the accompanying pages carefully 3. Please type or write using BLOCK LETTERS within the spaces provided. DO NOT EXCEED these spaces. 4. Please ensure that the signature(s) in this application form match with specimen signature card of Bursa Depository 5. Affin Investment Bank Berhad reserves the right to reject the application without giving any reason 6. Please submit three (3) copies of photocopied NRIC(front and back onto one-sided A4)/Passport, certified true copies by the assigned Dealer s Representative / Authorised Personnel of Affin Investment Bank Berhad / tary Public / Commissioner for Oaths / Advocate & Solicitor. 7. You may required to submit further financial supporting documents Account to be opened at : A. APPLICANT S PERSONAL PARTICULARS 1. Title Mr Ms Others (please state) 2. Name (herein referred to as Applicant, I, me or my) 3. Nationality Malaysian Others (please state ) 4. of residence Malaysia Others (please state ) 5. Date of Birth Gender Male Female 7. Marital status Single Divorced Married Widow 8. Race (for Malaysian only) Bumiputra n-bumiputra 9. New NRIC - - Old NRIC / Passport. 10. Address (as per NRIC/ Passport) 11. Tel. (Mobile) Tel. (Home) Mailing Address (if different from above) 1

2 B. APPLICANT S OCCUPATION / PROFESSION PARTICULARS 15. Occupation Self employed Employee Retiree * Others (please state) 16. Name If self employed, please provide Company/Business registration no. 17. Company Address 18. Nature of Business 19. Position Held 20.. of Years of Service 21. Tel. (Office) Fax (Office) - - * (Retirees are also requested to provide details of last employment in the boxes under items above ) C. APPLICANT S SPOUSE OR NEXT-OF-KIN PARTICULARS 23. Name 24. Relationship Spouse Others (please state) 25. New NRIC - - Old NRIC / Passport. 26. Address 27. Occupation Self employed Employee Retiree * Others (please state) 28. Name 29. Company Address 30. Nature of Business 31. Position Held 32.. of Years of Service 33. Tel. (Office) Tel (Mobile/Home) * (Retirees are also requested to provide details of last employment in the boxes under items above ) 2

3 D. APPLICANT S FINANCIAL AND INVESTMENT PARTICULARS 36. Gross annual income Below RM 30,000 RM 50,001 - RM 100,000 RM 200,001 RM 500,000 RM 700,001 RM 1,000,000 RM 30,001 - RM 50,000 RM 100,001 - RM 200,000 RM 500,001 RM 700,000 Above RM 1,000, Estimated Networth Below RM 12,000 RM 24,001 - RM 36,000 RM 48,001 RM 60,000 RM 100,001 RM 300,000 RM 12,000 - RM 24,000 RM 36,001 - RM 48,000 RM 60,001 RM 100,000 Above RM 300, Source of Wealth /Funds Savings Rental income Salary Investment income Business income Inherited wealth Directorship Others 39. Investment objective Capital Gains Dividend income Mixture 40. How long have you invested in securities listed in Bursa Malaysia Securities Berhad? Never Less than 1 year 1 to 3 years More than 3 years 41. Are you familiar with the trading and settlement rules of the Bursa Malaysia Securities Berhad? 42. Are you familiar with the operations of the CDS Accounts with Bursa Malaysia Depository Sdn Bhd? 43. Do you have any trading accounts with other stockbroking companies in Malaysia? 44. Do you have any investment loan or margin financing facility with other banks or stockbroking companies? 45. Do you have any trading account, loan or margin financing facility maintained with Affin Investment Bank Berhad which are held by persons related to or connected with the you (including but not limited to your spouse, your partner(s) or your spouse s partner and companies or firms controlled by the you and/or the your spouse)? (if yes, please provide details below) 1. Account name : Account code/facility: Approved Limit :RM 2. Account name : Account code/facility: Approved Limit :RM 46. Do you know of any staff/director/dealer s Representative of Affin Investment Bank Berhad who is related to you? (Related persons include applicant s spouse, business partner, parent, child, sibling, their respective spouse, as well as companies controlled by such persons, if yes, please provide details below) 1. Name : Relationship : 2. Name : Relationship : 47. Are you a Director or a shareholder of a company which has a trading account with Affin Investment Bank Berhad? (if yes, please provide details below) 1. Company name : Trading account no.: 2. Company name : Trading account no.: 48. Do you invest in securities listed in foreign exchanges? If yes, please state name of exchange(s)? (if yes, please provide details below) Exchange(s) names: 49. Bank reference Bank Branch Account Type Account te : Applicant is required to complete the Form for E-Share Payment if this service is required to be activated 3

4 E. DECLARATION & AGREEMENT 1. I hereby request Affin Investment Bank Berhad ( the Bank ) to open a Securities Trading Account ( the Account ). 2. I declare that I am above 18 years of age and that I am not a bankrupt and have not been declared a defaulter by Bursa Malaysia Securities Berhad at any time to date. 3. Where applicable, I request Affin minees (Tempatan) Sdn. Bhd. / Affin minees (Asing) Sdn. Bhd. ( the Company ) to open a Central Depository Account with Affin Investment Bank Berhad ( the Account ) in the name of the Company for my account as ultimate and absolute beneficial owner and agree to abide by the Rules and Regulations of Bursa Malaysia Securities Berhad, Bursa Malaysia Depository Berhad and other relevant regulatory body as amended from time to time governing the use of the Central Depository Accounts. 4. I hereby declare that the information given in this application is true and correct in all respect and I have not withheld any material fact and information and undertake to update the Bank of any changes to the information given. 5. I have read and understood the Terms and Conditions herein stated in Part G and Contra Guidelines in Part I and accept and agree to be bound by them. 6. I further declare that the source of funds for the transaction(s) is derived from lawful means. 7. I hereby solemnly declare that the dealing in securities in respect of the Account shall be carried out for me as principal. 8. I hereby declare that I am / am not* entrusted with any prominent public function such as head of state or government, senior politicians, senior government officials, judicial or military officials, senior executive of state owned corporations or publicly owned corporations, important political party officials in any foreign country ("Foreign PEP") nor do I have any business relationship with Foreign PEP's family members / close associate. *delete whichever not applicable If applicable, please state: Foreign. Position Held 9. I hereby authorise the following person(s) [hereinafter referred to as the Representatives(s) ]: Name (i) (ii) NRIC / Passport I understand that this could give rise to risks of the documents and cheques being lost, misappropriated or otherwise mishandled while they are in the custody of my Representatives(s). 11. This authorisation is valid until written notice of cancellation is given by me and received and acknowledge by the Bank. Applicant Signature Witness Signature* Date : Name : NRIC / Passport. : * Witness must be the assigned Dealer s Representative / Authorised Personnel of Affin Investment Bank Berhad / tary Public / Commissioner for Oaths/ Advocate& Solicitor. 4

5 F. DECLARATION BY DEALER S REPRESENTATIVE The Directors Affin Investment Bank Berhad Dear Sirs, I hereby request the Bank to approve this application and to authorise me to act as the Dealer s Representative for the Applicant. I hereby confirm that the information given herein by the Applicant is true and correct to the best of my knowledge. I hereby agree to indemnify the Bank against any losses, damages, debts, interest, charges and all other costs and expenses incurred or suffered by the Bank in relation to the Account and CDS Account of the Applicant. My knowledge of the Applicant s background is as follows: 1. Past business association, years known, etc. 2. Estimated networth, income, etc. 3. Investment objectives, payment record, etc. 4. Proposed trading limit RM 5. Proposed minimum brokerage to be charged : Trades value RM100,000 and below % Trades value above RM100,000 % Dealer s Representative Signature Name : Date: 5

6 G. GENERAL TERMS AND CONDITIONS General Terms and Conditions Applicable to All Applicants (also referred to as Applicant, I, me or my) The Applicant agrees to all the terms and conditions stated herein and all other terms and conditions as may be prescribed by the Bank from time to time in its absolute discretion, whether in substitution, variation and/or addition to the terms and conditions herein, without giving any reason thereto. 1. The Applicant agrees to abide by the Rules and Regulations of Bursa Malaysia Securities Berhad and other relevant regulatory body as amended from time to time governing the purchase and sale of securities quoted on Bursa Malaysia Securities Berhad or other recognised stock exchange 2. The Applicant further agrees to provide additional information or documentary proof as and when required by the Bank and authorise the Bank to obtain any other information from any source as the Bank may in its sole discretion deem appropriate 3. The Applicant acknowledges that information or representation conveyed by the Bank s Dealer s Representatives is not to be construed as recommendations, advice, suggestion or solicitation for purchase or sale of securities by the Bank, and that the Bank accepts no liability whatsoever for any loss arising from the said information. 4. The Applicant acknowledges that the Bank s Dealer s Representatives are not authorised to accept any liability on the Bank s behalf, nor to waive or vary any of the terms and conditions stated herein. 5. The Applicant undertakes to make prompt payment for delivery of securities purchased by the Bank on the Applicant s behalf on or before the due date. Payment shall include brokerage fees, stamp duties, and all other relevant charges in respect of the transaction(s). 6. The Applicant undertakes to promptly deliver to the Bank securities and all other relevant documents relating to the securities sold by the Bank on the Applicant s behalf. 7. The Applicant acknowledged that there are inherent risks of losses in the event the Bank executes any purchase or sale of securities under his authority herein or his instructions from time to time and that such losses shall be borne solely by the Applicant. 8. The Applicant authorises the Bank in its absolute discretion to carry out such selling out or buying in of stocks, shares or securities to clear the account position and undertakes to indemnify the Bank against all losses and expenses incurred resulting from any "buying-in" or "selling-out" executed on the Applicant s behalf in the event the Applicant fails to comply with any of his obligations (including but not limited to applicant s payment obligations). 9. The Applicant undertakes to pay to the Bank, as and when due, or upon demand, all monies owing from the Applicant to the Bank in connection with the Account or in any other way associated with or relating to the Account. The Applicant undertakes to promptly pay interest on all amounts outstanding on the Account at the rate determined by the Bank at its absolute discretion from time to time (both before and after judgment), as well as all solicitors fees (on a solicitor and client basis) and other expenses incurred by the Bank in recovering any amount outstanding from the Applicant or in connection with the Bank enforcing any of its rights under this Agreement. 10. The Bank is authorised to conduct all such enquiries on the Applicant for the purpose of ascertaining the Applicant s financial standing and creditworthiness. If required by relevant authorities, the Bank is also authorised to disclose all information on the Applicant. 11. The Bank is authorised at its discretion to deal with and/or withhold outward transfer of all securities purchased by the Applicant or on the Applicant s behalf held by the Bank whether in the Bank s custody or in the Applicant s CDS Account with the Bank, and use the proceeds of sale towards satisfaction of all payments due and/or owing by the Applicant to the Bank. 12. The Bank is authorised to set-off against any amount due to the Applicant or transfer any credit balances or cash deposits in any of the Applicant s accounts and/or Applicant s trust account to reduce or settle any liability due and/or owing by the Applicant to the Bank. 13. If any such fees, costs and expenses shall remain unpaid by the Applicant, the Bank shall have a first and paramount lien over the securities, with full power of sale, without prejudice to the Bank s other rights arising by operation of law. 14. The Bank may record and archive all telephone and/or electronic communications with the Applicant in order to verify instructions given by the Applicant and that such records or archives shall be conclusive evidence of any instructions given by the Applicant, for all intents and purposes. 15. The Applicant shall fully indemnify the Bank at all times (notwithstanding the termination of this Agreement and/or the closure of the Account) against any claims, liabilities, damages, fees, costs and expenses which may be incurred by the Bank and against all proceedings which may be brought by or against the Bank, in connection with: a. the opening and maintenance of the Account; b. the Bank acting on any of the Applicant s instructions; c. any wrongful, unauthorised or negligent acts or omissions by the Applicant; d. the enforcement of the Bank s rights and/or remedies herein contained including without limitation, any legal fees (on a solicitor and client basis); and e. the Bank having incurred obligations as against any third party whilst maintaining the Account. 16. The Bank reserves the right to amend or cancel and issue new contract notes, statements and/or any other documents at any time if it discovers that the said documents are erroneous. 17. Subject to Clause 14 above, all contract notes, statements and/or other documents issued by the Bank shall be deemed final, conclusive and binding save for manifest error(s). 18. All contract notes, statements and/or other documents sent out by the Bank by ordinary post to the Applicant s last known address shall be deemed to have been received by the Applicant within two(2) business days after the day of posting. Any omission or inaccuracy in the said documents shall be made known to the Bank within 24 hours thereafter. 19. The Applicant acknowledges and agrees to abide by all terms and conditions imposed by the Bank relating to the services extended to the Applicant herein and the Applicant s account and that the Bank may at any time or time to time impose or vary such other terms and conditions in its sole and absolute discretion. Upon the imposition or amendment being posted by the Bank on its website ( Site ) or being notified by mail, notice of the same shall deemed to have been effected at the time when the notice is posted on the Site or within seven (7) days of mailing of the notice by ordinary mail (as the case may be). By the Applicant continuing to trade or give any order(s) for trade subsequent to the effective date of notice, the Applicant shall be deemed to have agreed to and accepted the new or amended terms and conditions imposed by the Bank whereof these provisions shall be binding upon the Applicant from the date of posting. The relevant provisions of this Agreement shall thereafter be deemed to have been amended, modified, supplemented and/or varied accordingly and shall be read and construed as if such amendments, modification, supplements and/or variations had been incorporated in and had formed part of this Agreement at the time of execution hereof, 20. The Applicant acknowledges that whilst every effort shall be made by the Bank to ensure that the Applicant receives all entitlements due to him for all the foreign securities held in custody by the Bank on the Applicant s behalf, the Bank shall not be held liable for any loss suffered by the Applicant if the Bank fails to do so. 21. Indulgence given by the Bank shall not constitute a waiver of any rights of the Bank. Knowledge or acquiescence by the Bank of, or in, any breach of any of the provisions of this Agreement, or the failure of, or delay by, the Bank to insist on strict compliance with any terms or conditions herein, shall not operate as, or be deemed to be, a waiver of such provisions and, notwithstanding such knowledge, acquiescence, failure or delay, the Bank shall remain entitled to exercise its rights and remedies under this Agreement, and at law, and to require strict performance of all of the provisions of this Agreement. 22. In the event that any one (or more) of the provisions herein is unenforceable for whatever reason, all other provisions herein shall remain valid and unaffected and a provision which is valid and enforceable and achieves to the greatest extent possible the objectives of such illegal, void, invalid or unenforceable provision, will be substituted in its place. 23. The Account may be terminated by either party by notice in writing and all balances in the Account shall become immediately due and payable. Any termination hereof shall be without prejudice to the Bank s right to settle any transactions entered into, or to settle any liability incurred by the Applicant hereunder, prior to termination, and the Applicant shall remain liable for all costs and expenses incurred as a result of the Bank settling such transactions, which shall be paid to the Bank by the Applicant immediately upon demand. The Bank shall also be entitled at its discretion, to cancel all unexecuted instructions as at the time of termination. 24. The Account is subject to periodic review and the Bank is entitled to, at any time, suspend or terminate the Account without assigning any reasons thereto. 25. The Applicant agrees that neither the Bank nor its employees or agents shall be liable in any direct, consequential, incidental, special or indirect losses or damages whatsoever which may arise or be caused by the delay, failure or alleged failure of the broker-front-end ( BFE ) trading system, winscore, to execute, cancel or amend such orders. 26. The Applicant agrees that neither the Bank nor its employees or agents for any inaccuracy, error or delay in, or omission of any orders executed in winscore due either to any negligent act or omission by the Bank or any disseminating party, or to any force majeure events (including but not limited to flood, inclement weather, earthquake or other act of God, fire, war, insurrection, riot, labour dispute, accident, action of government, communications, power or equipment failure, or software failure or malfunction) or any other cause beyond the reasonable control of the Bank or any disseminating party 27. The Applicant agrees that the Applicant will not hold the Bank or any of the Bank s officers, employees or agents responsible or liable for whatever losses incurred as a result of the acts, representation and/or omission of my dealer s representative in carrying out his/her duties in connection with the Applicant s account 28. This Agreement shall be binding on the heirs, representatives and/or successors in title of the Applicant and the Bank. The Applicant further undertakes that he shall not assign his rights and liabilities under this Agreement or the Account, to any third party. 6

7 G. GENERAL TERMS AND CONDITIONS (continuation) 29. The rights and obligations of the Bank shall continue to be valid and binding for all purposes whatsoever notwithstanding any change by amalgamation, reconstruction or otherwise which may be made in the constitution of the Bank or of any company by which the business of the Bank may for the time being be carried on and shall be available to the company carrying on that business for the time being, and similarly the liabilities and or obligations of the Applicant shall continue to be valid and binding for all purposes whatsoever notwithstanding any change in the constitution of the Applicant, and it is expressly declared that no change of any sort whatsoever in relation to or affecting the Applicant shall in any way affect the liabilities and/or obligations of the Applicant in relation to any transaction whatsoever, whether past, present or future. 30. The Applicant irrevocably submits to the jurisdiction of the Courts of Malaysia and the terms and conditions herein shall be governed by and construed according to the laws of Malaysia 31. In this Agreement, unless there is something in the subject or context inconsistent with such construction or unless it is otherwise expressly provided: 32. Disclosure a. any reference to the "Bank" shall include its successors in title and assigns; b. words denoting persons include corporations and vice versa and include their respective heirs, personal representatives, successors in title or permitted assigns; c. any reference to "securities" includes any securities or rights, monies, interests, entitlement and property whatsoever which may at any time be accrued to the Applicant, or for which the Applicant is entitled to, under any rights, bonus, distribution or other issue, or dividends, or monies received under or attributable to any such securities; d. any reference to a "business day" is to a day whereby the Bursa Malaysia Securities Berhad is open for business; e. if any period of time is specified from a given day, or the day of a given act or event, it is to be calculated exclusive of that day and if any period of time falls on a day, which is not a business day, then that period is to be deemed to expire on the previous business day; f. words and phrases, definitions of which are given in the Capital Markets & Services Act 2007, shall be construed as having the meaning thereby attributed to them, but excluding any statutory modification thereof not in force at the date of this Agreement; g. any reference to "pay" includes payments made in cash or by way of bank drafts or effected through inter-bank transfers to the account of the payee, giving the payee access to immediately available, freely transferable, cleared funds; and h. any reference to this Agreement or any provisions in this Agreement shall include all amendments and modifications made to this Agreement from time to time. The Applicant hereby permits and authorises the Bank (in its capacity as a licensed bank under the Banking and Financial Institution Act 1989 ( BAFIA ) and/or as a Participating Organisation of Bursa Securities): 32.1 to have access to and/or to obtain and/or to extract any information and or documents whatsoever and however described relating to the Applicant ( Customer Information ) from any source whatsoever (including but not limited to any credit information from Bank Negara Malaysia); and 32.2 to disclose the Customer Information to any persons deemed necessary by the Bank in relation to or arising from or in connection with the Applicant s account to any of the person(s) as set out below and the Applicant hereby confirms and agrees that the Bank shall be under no duty or obligation whatsoever to cause such person not to or to ensure that such person does not disclose such Customer Information to any other person: a. the subsidiary, holding company, related corporations or associates (the term related corporations is as defined in the Companies Act 1965 or the equivalent legislation in foreign jurisdiction) of the Bank in Malaysia or overseas (collectively the Interested Parties and each an Interested Party ) whether present or future notwithstanding that an Interested Party s principal place of business may be outside of Malaysia; and b. Bank Negara Malaysia (including but not limited to the Credit Bureau, the Central Credit Reference Information System), Bursa Malaysia Securities Berhad and any other authority The Applicant acknowledges and agrees that the permission and authorisation given herein is for the purposes of including without limitation Section 99(1)(a) of the BAFIA, and that no further consent from the Applicant is required and that the Bank shall not be liable to the Applicant under any circumstances or in any manner whatsoever for any loss or damage (whether direct or indirect, foreseeable or unforeseeable) and howsoever arising in relation to or arising from the disclosure of the Customer Information by the Bank or any other person; and 32.3 Individual The Applicant hereby irrevocably consents and authorises, and confirms for the Bank to carry out the necessary reference checks including but not limited to credit reference checks to further ascertain the Applicant s status, at the Bank s sole discretion without further reference to the Applicant. H. STRUCTURED WARRANT RISK DISCLOSURE STATEMENT 1. This statement is provided to you in accordance with the directive of the Committee of the Bursa Malaysia Securities Berhad dated 6 December 1994 pursuant to Article 50(c) of the Articles of the Exchange, Members Circular L/O 2848 of 1994, R/R11 of 1995, R/R20 of 2007 and R/R14 of 2009 The purpose of this statement is to inform the applicant that the risk of loss in purchasing structured warrants can be substantial. The applicant should therefore assess if the purchase of structured warrants is suitable for the applicant in the light of his/her financial circumstances. In deciding whether to purchase structured warrants, the applicant should be aware of the following: a. The purchaser of a structured warrant is subject to risk of losing the full purchase price of the structured warrant and all transaction costs; b. In order to realise any value from a structured warrant, it is necessary to sell the structured warrant or exercise the structured warrant on or before its expiry date; c. Under certain conditions, it may become difficult to sell a structured warrant; d. Upon exercise of the structured warrant, the issuer may settle its obligations via actual delivery of the underlying asset, in cash or a combination of both depending on the terms of the issue of the structured warrant; e. Placing of contingent orders, such as stop-loss or stop-limit orders will not necessarily limit the applicant s losses to the intended amount. Market conditions may not make it possible to execute such orders; and, f. The high degree of leverage that is obtainable from structured warrants because of the small initial outlay can work against the applicant as well as for the applicant. The use of leverage can lead to large losses as well as gains. 2. This brief statement cannot disclose all the risks and other aspects of purchasing structured warrants. The applicant should therefore carefully study the terms and conditions of a structured warrant before you decide to purchase. If in doubt in relation to any aspect of this statement of structured warrants, the applicant should consult his/her Dealer s Representative. I. CONTRA GUIDELINES These guidelines are issued to all applicants and exiting clients of Affin Investment Bank Bhd pursuant to Circular R/R 8 of 1997 of the Bursa Malaysia Securities Berhad. Applicant who wish to settle purchase contracts by way of contra against a corresponding sales contract are required to comply with the following guidelines: 1. Contra settlement of contract is only allowed for purchase and sale contracts of a similar security and for a similar quantity. 2. Contra is only allowed for contracts done on a ready basis. 3. The Bank reserves the right not to accept settlement by way of contra without giving any reasons therefor. 4. Settlement by contra may only be effected not later than 2nd market day after the contract date except for subsequent sales to close off a purchase position or in pursuance of a selling-out. 5. Under normal circumstances, the Bank will automatically contra all outstanding purchase positions against any subsequent sales of the same security. 6. Clients are required to notify the company if a contra is not required, not later than the 1st market day after the date of contra and the Bank will upon receipt of notification reverse the contra. Request for reversal of contra after the 2nd market day will not be entertained. 7. A contra statement shall be issued to clients detailing the buy and sell contracts that have been contraed and the balance due, if any. 8. The Bank shall settle any contra gains within 5 market days from the date of contra. Clients are required to settle contra losses due to the Bank within 5 market days. 9. Interest is charged on unpaid contra losses for each calendar day from the 6th market day of the date of contra. The interest rate will be determined by the Bank from time to time. 10. For purchase contracts settled by contra, interest is charged daily on the contract value for the funding period i.e. for each calendar day from T+4 of the purchase contract to T+3 of the corresponding sales contract subject to any grace period as may be determined by the Bank from time to time. 11. The Bank reserves the right to waive, vary or change the interest charge on contra transactions or the rate thereof. 12. All contra losses shall be netted off against contra gains and other credit items due from the Bank. 7

8 J. FOR OFFICE USE Client Code CDS. - - Dealer s Representative s Code Brokerage Code Group Code Product Code Analysis Code Category Code Account Type Industry Code BNM Code s Date Despatch Pref. Copies Data entry by : Checked by : CCD Remarks for CDDM Level 2 (if applicable) 1. MOD signed Date :.. 2. affintrade signed Date :.. 3. CTOS Date :.. 4. NIM check Date :.. 5. PEP check Date :.. 6. Data checked Date :.. 7. CDDM Level 2 Date :.. 8. Cross Border Date :.. 9. RPR Code Recommended trading limit : Approved trading limit : Remarks: Remarks: CCD Date Approving authority Date CRM01E [revised 10/2010] 8

TERMS AND CONDITIONS OF i*trade@cimb

TERMS AND CONDITIONS OF i*trade@cimb TERMS AND CONDITIONS OF i*trade@cimb I hereby:- 1. undertake to abide by all rules, regulations, by laws, directives of Bursa Malaysia Securities Berhad (Bursa Securities) and/or any other relevant authority

More information

How To Get A Job At A Bank In Malaysia

How To Get A Job At A Bank In Malaysia SEAGROATT & CAMPBELL SECURITIES SDN BHD (134631-U) (A Participating Organisation Of Bursa Malaysia Securities Bhd) 11 th - 14 th FLOOR, CHULAN TOWER, NO. 3, JALAN CONLAY, 50450 KUALA LUMPUR. Tel 03-2168

More information

Trading, Collaterised Accounts Terms & Conditions

Trading, Collaterised Accounts Terms & Conditions Trading, Collaterised Accounts Terms & Conditions CB/ST/V1/2012 1. PURPOSE 1.1 You (i.e. the Applicant) shall use the Collaterised Trading Facility ( the Facility ) only to deal in securities ( Securities

More information

Application for Opening of Share Trading Account CORPORATE

Application for Opening of Share Trading Account CORPORATE SEAGROATT & CAMPBELL SECURITIES SDN BHD (134631-U) (A Participating Organisation of Bursa Malaysia Securities Bhd) 11 th - 14 th FLOOR, CHULAN TOWER, NO. 3, JALAN CONLAY, 50450 KUALA LUMPUR. Tel: 03-2168

More information

AL RAJHI SAVINGS ACCOUNT-i AGREEMENT - QARD

AL RAJHI SAVINGS ACCOUNT-i AGREEMENT - QARD Original Bank Copy Duplicate Customer Copy BETWEEN AL RAJHI BANKING & INVESTMENT CORPORATION (MALAYSIA) BHD (719057-X) AND CUSTOMER S NAME: REGISTRATION NO./NRIC NO./PASSPORT NO.: DATE: 1 DATE: BETWEEN

More information

Application for Opening of Share Trading Account INDIVIDUAL

Application for Opening of Share Trading Account INDIVIDUAL SEAGROATT & CAMPBELL SECURITIES SDN BHD (134631-U) (A Participating Organisation of Bursa Malaysia Securities Bhd) 11 th - 14 th FLOOR, CHULAN TOWER, NO. 3, JALAN CONLAY, 50450 KUALA LUMPUR Tel: 03-21710228

More information

SUBSCRIPTION AGREEMENT FOR SELF MONITORING SERVICES

SUBSCRIPTION AGREEMENT FOR SELF MONITORING SERVICES Manual Registration Version SUBSCRIPTION AGREEMENT FOR SELF MONITORING SERVICES SME Credit Bureau (M) Sdn Bhd (820050-T) Level 5, Bangunan CGC, Kelana Business Centre 97, Jalan SS7/2, 47301 Petaling Jaya

More information

ELECTRONIC TRADING FACILITIES SUPPLEMENTAL TERMS AND CONDITIONS OF TRADING

ELECTRONIC TRADING FACILITIES SUPPLEMENTAL TERMS AND CONDITIONS OF TRADING ELECTRONIC TRADING FACILITIES SUPPLEMENTAL TERMS AND CONDITIONS OF TRADING This Supplemental Terms and Conditions of Trading is supplemental to and forms part of the terms and conditions set out in the

More information

INDIVIDUAL TRADING ACCOUNT APPLICATION FORM AND TERMS & CONDITIONS FOR SECURITIES TRADING

INDIVIDUAL TRADING ACCOUNT APPLICATION FORM AND TERMS & CONDITIONS FOR SECURITIES TRADING AmInvestment Bank Group INDIVIDUAL TRADING ACCOUNT APPLICATION FO AND TES & CONDITIONS FOR SECURITIES TRADING To be completed by AmInvestment Bank Berhad Client Name Account Qualifier CDS Account Number

More information

To: CIMB Investment Bank Berhad ( CIMB IB )* / CIMB Bank Berhad ( CIMB Bank )**/ CIMB Futures Sdn Bhd ( CIMBF ) *** Name (as per NRIC/Passport):

To: CIMB Investment Bank Berhad ( CIMB IB )* / CIMB Bank Berhad ( CIMB Bank )**/ CIMB Futures Sdn Bhd ( CIMBF ) *** Name (as per NRIC/Passport): To: CIMB Investment Bank Berhad ( CIMB IB )* / CIMB Bank Berhad ( CIMB Bank )**/ CIMB Futures Sdn Bhd ( CIMBF ) *** Dear Sir / Madam: GET MORE CAMPAIGN ( Campaign ) Name (as per NRIC/Passport): NRIC/ Passport

More information

IF YOU CHOOSE NOT TO ACCEPT THESE TERMS AND CONDITIONS, PLEASE IMMEDIATELY DISCONTINUE YOUR ACCESS TO THIS WEBSITE AND/OR USE OF THE SERVICES.

IF YOU CHOOSE NOT TO ACCEPT THESE TERMS AND CONDITIONS, PLEASE IMMEDIATELY DISCONTINUE YOUR ACCESS TO THIS WEBSITE AND/OR USE OF THE SERVICES. Please take a moment to read these TERMS and CONDITIONS carefully. THE FOLLOWING TERMS AND CONDITIONS APPLY TO YOUR ACCESS AND THE USE OF THIS WEBSITE AND THE SERVICES PROVIDED HEREIN BY MALAYAN BANKING

More information

Icetrak Fax to Email Contract Terms and Conditions

Icetrak Fax to Email Contract Terms and Conditions Section 1: General terms and conditions 1 Definitions Icetrak Fax to Email Contract Terms and Conditions 1.1 In these terms the words and expressions listed below shall have the following meanings: Act

More information

CLEARING MEMBERSHIP AGREEMENT

CLEARING MEMBERSHIP AGREEMENT CLEARING MEMBERSHIP AGREEMENT DATED between LCH.CLEARNET LLC and LCH.CLEARNET LIMITED 17 State Street, 28th floor, New York, NY 10004 Telephone: +1 (212) 513-8282 Website: www.lchclearnet.com In consideration

More information

Terms and Conditions Maybank Private Banking Account/ Maybank Private Banking Account-i. Member of PIDM

Terms and Conditions Maybank Private Banking Account/ Maybank Private Banking Account-i. Member of PIDM Terms and Conditions Maybank Private Banking Account/ Maybank Private Banking Account-i Member of PIDM These Terms and Conditions govern the Maybank Private Banking Account/Maybank Islamic Private Banking

More information

RHB INVESTMENT BANK BERHAD GENERAL TERMS & CONDITIONS

RHB INVESTMENT BANK BERHAD GENERAL TERMS & CONDITIONS RHB INVESTMENT BANK BERHAD GENERAL TERMS & CONDITIONS 1. GENERAL DECLARATION BY THE APPLICANT: I / We ( The Applicant ) hereby declare that:- 1.1 The Applicant, being an individual, has not been adjudicated

More information

TRADING FACILITY AGREEMENT INTERNET TRADING FACILITY

TRADING FACILITY AGREEMENT INTERNET TRADING FACILITY TRADING FACILITY AGREEMENT INTERNET TRADING FACILITY The Facility This letter sets out the terms on which we are prepared to offer the Facility. Please read the terms carefully and ensure that you fully

More information

Personal Loan Agreement

Personal Loan Agreement March 2014 HSBC Bank Middle East Limited - PERSONAL LOAN AGREEMENT HSBC Bank Middle East Limited Personal Loan Agreement Copyright. HSBC Bank Middle East Limited 2014 ALL RIGHTS RESERVED. No part of this

More information

BROKERAGE ACCOUNT AGREEMENT

BROKERAGE ACCOUNT AGREEMENT www.efghermes.com BROKERAGE ACCOUNT AGREEMENT One Region. One Investment Bank Egypt Emirates Jordan Kuwait Lebanon Oman Qatar Saudi Arabia Syria Date (DD/MM/YYYY) MCD Number Client Type Individual Non-Individual

More information

APPENDIX FOR U.S. SECURITIES TRADING

APPENDIX FOR U.S. SECURITIES TRADING APPENDIX FOR U.S. SECURITIES TRADING This Appendix applies in respect of securities trading services in U.S. Securities provided by ICBCIS to the Client. In the event that there is any inconsistency between

More information

In these conditions "the Company" means Pro Formance Metals Limited

In these conditions the Company means Pro Formance Metals Limited Terms and Conditions of Sale In these conditions "the Company" means Pro Formance Metals Limited 1. ALL CONTRACTS OF SALE - incorporate these Terms and Conditions. Any variation of these Terms and Conditions

More information

BOC CREDIT CARD (INTERNATIONAL) LIMITED TERMS & CONDITIONS OF BOC EXPRESS CASH INSTALMENT LOAN

BOC CREDIT CARD (INTERNATIONAL) LIMITED TERMS & CONDITIONS OF BOC EXPRESS CASH INSTALMENT LOAN BOC CREDIT CARD (INTERNATIONAL) LIMITED TERMS & CONDITIONS OF BOC EXPRESS CASH INSTALMENT LOAN Successful applicant ( Borrower ) of the approved BOC Express Cash Instalment Loan shall be subject to the

More information

HONG LEONG INFINITE/ INFINITE CREDIT CARD TERMS AND CONDITIONS

HONG LEONG INFINITE/ INFINITE CREDIT CARD TERMS AND CONDITIONS HONG LEONG INFINITE/ INFINITE CREDIT CARD TERMS AND CONDITIONS The terms and conditions below are to be read together with the Hong Leong Bank ( the Bank ) Cardholder s Agreement Terms and Conditions (

More information

TERMS AND CONDITIONS FOR THE SERVICES OFFERED BY THE COMPANY

TERMS AND CONDITIONS FOR THE SERVICES OFFERED BY THE COMPANY Introduction TERMS AND CONDITIONS FOR THE SERVICES OFFERED BY THE COMPANY These terms and conditions govern the relationship between you (the "Client") and Horizon Investment Services Limited, a company

More information

TERMS AND CONDITIONS GOVERNING THE USE OF NBADS ONLINE TRADING

TERMS AND CONDITIONS GOVERNING THE USE OF NBADS ONLINE TRADING TERMS AND CONDITIONS GOVERNING THE USE OF NBADS ONLINE TRADING In this document, the following words and phrases shall have the meanings set out below unless indicated otherwise. You should read every

More information

CROSSFLIGHT LIMITED TRADING AS CROSSFLIGHT MAIL TERMS AND CONDITIONS OF SUPPLY OF BULK MAIL AND FULFILMENT SERVICES

CROSSFLIGHT LIMITED TRADING AS CROSSFLIGHT MAIL TERMS AND CONDITIONS OF SUPPLY OF BULK MAIL AND FULFILMENT SERVICES CROSSFLIGHT LIMITED TRADING AS CROSSFLIGHT MAIL TERMS AND CONDITIONS OF SUPPLY OF BULK MAIL AND FULFILMENT SERVICES 1. Interpretation 1.1 In these Conditions: Actual Value means for the purposes of Condition

More information

SHORT TERM FLAT NBP. Trading Terms & Conditions

SHORT TERM FLAT NBP. Trading Terms & Conditions SHORT TERM FLAT NBP TR Trading Terms & Conditions 2015 ("NBP 2015") SHORT TERM FLAT NBP TRADING TERMS AND CONDITIONS 1. Definitions and Interpretation 1.1 The following words or phrases, where they appear

More information

CLIENT AGREEMENT FOR CASH SECURITIES TRADING ACCOUNTS

CLIENT AGREEMENT FOR CASH SECURITIES TRADING ACCOUNTS CLIENT AGREEMENT FOR CASH SECURITIES TRADING ACCOUNTS IF YOU ARE IN ANY DOUBT ABOUT THIS DOCUMENT OR ABOUT THE SALE AND PURCHASE OF SECURITIES OR OTHERWISE, YOU SHOULD CONSULT YOUR BANK MANAGER, SOLICITOR,

More information

1. NEW MEMBERSHIP CRITERIA

1. NEW MEMBERSHIP CRITERIA 1. NEW MEMBERSHIP CRITERIA 1.1 To apply for a new Priority Banking membership with the Bank, a customer must have a total combined liquid assets of RM 200,000 or such other amount as may be stipulated

More information

DEED OF PRIORITIES. regulating priorities between two Debentures, to be used with factors/invoice discounters

DEED OF PRIORITIES. regulating priorities between two Debentures, to be used with factors/invoice discounters When this form has been completed and signed by the Customer and the Alternate Lender, send it to the Customer s Relationship Manager together with the completed Authority to contact form DEED OF PRIORITIES

More information

"Nominee" means OCBC Bank Nominees Pte Ltd or any other nominee appointed by the Bank from time to time and its successor in title.

Nominee means OCBC Bank Nominees Pte Ltd or any other nominee appointed by the Bank from time to time and its successor in title. TERMS AND CONDITIONS GOVERNING CPF INVESTMENT ACCOUNT These Terms and Conditions govern the Customer's CPF Investment Account with the Bank and the services which the Bank may extend to the Customer under

More information

Bill Payment Service Terms and Conditions

Bill Payment Service Terms and Conditions Bill Payment Service Terms and Conditions Table of Contents 1. Definitions...1 2. Effective Date...1 3. Bill Payment Services...1 4. Data and Records...1 5. Fees...2 6. Confidentiality...2 7. Indemnity...3

More information

Terms and Conditions of Sale

Terms and Conditions of Sale Broadberry Data Systems Limited ("The Company") Terms and Conditions of Sale 1. General a) Unless otherwise expressly agreed in writing by a Director (or authorised executive) of the Company all goods

More information

Application Form Heriot-Watt University Malaysia

Application Form Heriot-Watt University Malaysia FOR UNIVERSITY USE ONLY: Consultant: University use only Conditional Unconditional Rejected Date Approved by Signature Remarks Application Form Heriot-Watt University Malaysia PLEASE USE CAPITAL LETTERS

More information

Supplement of Terms and Conditions for Securities/Futures/Leveraged Foreign Exchange Trading Account

Supplement of Terms and Conditions for Securities/Futures/Leveraged Foreign Exchange Trading Account Supplement of Terms and Conditions for Securities/Futures/Leveraged Foreign Exchange Trading Account TABLE OF CONTENTS PART A INTERPRETATION PART B GENERAL TERMS PART C ADDITIONAL TERMS APPLICABLE TO RESPECTIVE

More information

MUSIC RESOURCES TERMS AND CONDITIONS FOR SCHOOLS ( Conditions )

MUSIC RESOURCES TERMS AND CONDITIONS FOR SCHOOLS ( Conditions ) MUSIC RESOURCES TERMS AND CONDITIONS FOR SCHOOLS ( Conditions ) Please ensure all relevant staff have read and understood these Conditions before signing. Please complete, sign and return the Music Resources

More information

Customer Terms and Conditions for Electronic Bill Presentment and Payment Service

Customer Terms and Conditions for Electronic Bill Presentment and Payment Service Customer Terms and Conditions for Electronic Bill Presentment and Payment Service 1. DEFINITIONS AND INTERPRETATION 1.1 In these Terms and Conditions, unless the context otherwise requires, the following

More information

Certificate of Entitlement (COE) Bidding Agreement. VENDOR S NAME (Addresses and details of Head Office and Branch Office)

Certificate of Entitlement (COE) Bidding Agreement. VENDOR S NAME (Addresses and details of Head Office and Branch Office) Certificate of Entitlement (COE) Bidding Agreement VENDOR S NAME (Addresses and details of Head Office and Branch Office) THIS PURCHASER S REQUEST AND AUTHORISATION TO BID FOR A COE AGREEMENT ("the Agreement")

More information

Entee Global Services General Terms and Conditions

Entee Global Services General Terms and Conditions Entee Global Services General Terms and Conditions These General Terms & Conditions and any information relating to the Service provided by Entee Global Services forms the Agreement between Us. By accepting

More information

HSBC Renminbi Business Credit Card Programme Agreement

HSBC Renminbi Business Credit Card Programme Agreement HSBC Renminbi Business Credit Card Programme Agreement The following terms and conditions govern (a) the use by a Cardholder of a Business Card being an HSBC Renminbi Business Credit Card (a Card ) issued

More information

NOBLE TRUST COMPANY LTD. GENERAL TERMS OF BUSINESS. The following definitions and rules of interpretation shall apply:

NOBLE TRUST COMPANY LTD. GENERAL TERMS OF BUSINESS. The following definitions and rules of interpretation shall apply: NOBLE TRUST COMPANY LTD. GENERAL TERMS OF BUSINESS 1. Definitions and interpretation The following definitions and rules of interpretation shall apply: 1.1 Agent means any person appointed by a Client

More information

DASHBOARD CONFIGURATION SOFTWARE

DASHBOARD CONFIGURATION SOFTWARE DASHBOARD CONFIGURATION SOFTWARE RECITALS: The Contractor has designed and a web site for Client, and has agreed to maintain the said web site upon the terms and conditions hereinafter contained.] NOW

More information

TERMS AND CONDITIONS FOR BANK ACCOUNTS AND GENERAL SERVICES

TERMS AND CONDITIONS FOR BANK ACCOUNTS AND GENERAL SERVICES TERMS AND CONDITIONS FOR BANK ACCOUNTS AND GENERAL SERVICES 1 IMPORTANT NOTICE The following Terms and Conditions for Bank Accounts and General Services contain important legal terms and conditions which

More information

TERMS AND CONDITIONS GOVERNING THE OPERATION OF THE CURRENT ACCOUNT OF THE MERCHANT BANK

TERMS AND CONDITIONS GOVERNING THE OPERATION OF THE CURRENT ACCOUNT OF THE MERCHANT BANK TERMS AND CONDITIONS GOVERNING THE OPERATION OF THE CURRENT ACCOUNT OF THE MERCHANT BANK 1. Definitions and Interpretation In these terms and conditions, unless the subject or context otherwise requires,

More information

Lek Securities Corporation. Agreement for Prime Broker Clearing Services

Lek Securities Corporation. Agreement for Prime Broker Clearing Services Lek Securities Corporation Agreement for Prime Broker Clearing Services This Agreement by and between Lek Securities Corporation ( LSC ), on its own behalf or on behalf of its Correspondent firm for which

More information

Standard conditions of purchase

Standard conditions of purchase Standard conditions of purchase 1 OFFER AND ACCEPTANCE 2 PROPERTY, RISK & DELIVERY 3 PRICES & RATES The Supplier shall provide all Goods and Services in accordance with the terms and conditions set out

More information

Web Terms & Conditions

Web Terms & Conditions PART 1: OUR AGREEMENT WITH YOU 1. AGREEMENT 1.1 Parties This Agreement is made between Cheap Web Designers (ACN 126 117 619) of Suite 504, 365 Little Collins Street Melbourne VIC 3000 ("CWD") and YOU the

More information

Terms and Conditions Governing the Supplementary Retirement Scheme (SRS) Account

Terms and Conditions Governing the Supplementary Retirement Scheme (SRS) Account Terms and Conditions Governing the Supplementary Retirement Scheme (SRS) Account Interpretation In this Term and Conditions, unless the context otherwise requires, Account Holder means each person who

More information

BOC Credit Card (International) Limited - Terms and Conditions for Online Services

BOC Credit Card (International) Limited - Terms and Conditions for Online Services BOC Credit Card (International) Limited - Terms and Conditions for Online Services These terms and conditions are applicable to all users of the Online Services and govern the use of the Online Services,

More information

Domain Name Registrant Agreement

Domain Name Registrant Agreement Domain Name Registrant Agreement Preamble 1. Who BNNIC is. Brunei Darussalam Network Information Centre Sdn Bhd ("BNNIC") is the national registry of.bn domain names in Brunei Darussalam. As the registry,

More information

SELF-DIRECTED RETIREMENT SAVINGS PLAN APPLICATION

SELF-DIRECTED RETIREMENT SAVINGS PLAN APPLICATION SELF-DIRECTED RETIREMENT SAVINGS PLAN APPLICATION CALEDON TRUST COMPANY LIRA Locked in Retirement Account* LRSP Locked in Retirement Savings Plan* RSP - Retirement Savings Plan - Member Plan RSP - Retirement

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

STRUCTURED DEPOSITS TERMS AND CONDITIONS

STRUCTURED DEPOSITS TERMS AND CONDITIONS STRUCTURED DEPOSITS TERMS AND CONDITIONS These Structured Deposits Terms and Conditions together with the applicable Term Sheet and Confirmation (as defined below) issued to you in respect of any Structured

More information

The Lender has agreed to provide the Borrower with an unsecured term loan. PARTIES (1) incorporated and registered in England and Wales

The Lender has agreed to provide the Borrower with an unsecured term loan. PARTIES (1) incorporated and registered in England and Wales Loan Agreement THIS AGREEMENT is dated The Lender has agreed to provide the Borrower with an unsecured term loan. PARTIES (1) incorporated and registered in England and Wales with company number,, whose

More information

Heslop & Platt Solicitors Limited

Heslop & Platt Solicitors Limited TERMS OF BUSINESS Heslop & Platt Solicitors Limited 1. Introduction and Definitions 1.1 In these terms of business, the following words and phrases have the following meanings: Initial Client Letter Client

More information

TRIPARTITE AGREEMENT BETWEEN STOCK BROKER, SUB - BROKER AND CLIENT

TRIPARTITE AGREEMENT BETWEEN STOCK BROKER, SUB - BROKER AND CLIENT TRIPARTITE AGREEMENT BETWEEN STOCK BROKER, SUB - BROKER AND CLIENT This Agreement (hereinafter referred to as Agreement ) is entered into on this day of 20, by and between M/s. First Global Stockbroking

More information

MyNetCard Visa Card Terms and Conditions

MyNetCard Visa Card Terms and Conditions MyNetCard Visa Card Terms and Conditions MYNETCARD VISA CARD TERMS AND CONDITIONS OF USE Please read these terms and conditions (the "Terms and Conditions") carefully and keep a copy for your records.

More information

RHB EUROZONE INDEX BETA FUND

RHB EUROZONE INDEX BETA FUND FIRST SUPPLEMENTARY INFORMATION MEMORANDUM This first supplementary information memorandum is dated 5 August 2015 and must be read together with the information memorandum dated 13 April 2015 for:- RHB

More information

Personal Instalment Loan - Express Loan Application Form

Personal Instalment Loan - Express Loan Application Form Page 1 of 5 For Bank Use Only Br CA 10EP011 PR ECA001 Applicant Information A/C Off code ears of Residence Home Tel. No. obile Phone & Pager No. are not accepted E I RE To: DBS Bank Hong Kong Limited the

More information

Terms and Conditions for Online Services of BOC Credit Card (International) Limited

Terms and Conditions for Online Services of BOC Credit Card (International) Limited Terms and Conditions for Online Services of BOC Credit Card (International) Limited Online Services of BOC Credit Card (International) Limited ("BOCCC") are provided to you by Bank of China (Hong Kong)

More information

China UnionPay Acquiring Services Merchant Terms and Conditions

China UnionPay Acquiring Services Merchant Terms and Conditions China UnionPay Acquiring Services Merchant Terms and Conditions (March 2012) For enquiries please contact the Card Centre at: Telephone: +44 (0)20 7282 8994 Facsimile: +44 (0)20 7282 8959 Address: Email:

More information

Standard Conditions of Contract of VJ Engineering Limited (the Company)

Standard Conditions of Contract of VJ Engineering Limited (the Company) 1 DEFINITIONS AND GENERAL 1.1 The following expressions shall have the following meanings in these terms and conditions the Company means VJ Engineering Limited. the Customer means the person(s), corporation

More information

London Stock Exchange Testing Services Order Form

London Stock Exchange Testing Services Order Form London Stock Exchange Testing Services Order Form For the purposes of the Data Protection Act 1998 and the Privacy and Electronic Communications (EC Directive) Regulations 2003, the information provided

More information

Share the benefits of American Express with your friends and be rewarded

Share the benefits of American Express with your friends and be rewarded Share the benefits of American Express with your friends and be rewarded Receive a complimentary engraved pen (worth RM200) with every successful referral s application. For the American Express Cards

More information

The Customer: having its address at:

The Customer: having its address at: mashreqmatrix Internet Banking Services Agreement This mashreqmatrix Internet Banking Services Agreement (the "Agreement") is made and entered into between: Mashreqbank psc, P.O. Box 1250, Dubai, U.A.E.

More information

2A. Investment Objective Definitions. Capital Preservation - a conservative investment strategy characterized by a desire to avoid risk of loss;

2A. Investment Objective Definitions. Capital Preservation - a conservative investment strategy characterized by a desire to avoid risk of loss; CUSTOMER ACCOUNT AGREEMENT This Customer Account Agreement (the Agreement ) sets forth the respective rights and obligations of Apex Clearing Corporation ( you or your or Apex ) and the Customer s (as

More information

Below is an overview of the Molex lease process as it applies to Molex Application Tooling equipment.

Below is an overview of the Molex lease process as it applies to Molex Application Tooling equipment. Dear Valued Customer, Below is an overview of the Molex lease process as it applies to Molex Application Tooling equipment. Lease process: Molex does not offer leases for all of the equipment that we promote.

More information

INTERNET TRADING SERVICE AGREEMENT. This Internet Trading Service Agreement ( this Agreement ) is made and executed at Colombo on this..

INTERNET TRADING SERVICE AGREEMENT. This Internet Trading Service Agreement ( this Agreement ) is made and executed at Colombo on this.. CDS A/c No. E mail INTERNET TRADING SERVICE AGREEMENT This Internet Trading Service Agreement ( this Agreement ) is made and executed at Colombo on this.. day of. 201 BETWEEN NDB Securities (Private) Limited,

More information

BUYING AGENCY AGREEMENT

BUYING AGENCY AGREEMENT THIS AGREEMENT ( Agreement ) is made this day of, 20xx, by and between, with its principal place of business at referred to hereinafter as Buyer, and, with its principal office at, hereinafter referred

More information

WAGES PAYMENT SERVICES AGREEMENT

WAGES PAYMENT SERVICES AGREEMENT WAGES PAYMENT SERVICES AGREEMENT This Agreement is made on this the [ day of [, 2015 by and between: First Party: AND Second Party: Al Khaliji France S.A. P.O. Box 4207, Al Maktoum Street, Deira, Dubai,

More information

HSBC Premier Member Get Member RM500 2016 Program ( Program ) Terms and Conditions

HSBC Premier Member Get Member RM500 2016 Program ( Program ) Terms and Conditions HSBC Premier Member Get Member RM500 2016 Program ( Program ) Terms and Conditions HSBC Bank Malaysia Berhad (Company No. 127776-V) will be referred to as HSBC Bank and HSBC Amanah Malaysia Berhad (Company

More information

MERCK CHEMICALS (PROPRIETARY) LIMITED Registration Number: 1975/004215/07 Vat Registration Number: 4500101094

MERCK CHEMICALS (PROPRIETARY) LIMITED Registration Number: 1975/004215/07 Vat Registration Number: 4500101094 MERCK CHEMICALS (PROPRIETARY) LIMITED Registration Number: 1975/004215/07 Vat Registration Number: 4500101094 APPLICATION FOR CREDIT FACILITIES INCORPORATING THE COMPANY S CONDITIONS OF SALE Physical :

More information

3.2 No third party withdrawal is allowed. TERMS AND CONDITIONS SAVINGS ACCOUNT Eligible for protection by PIDM

3.2 No third party withdrawal is allowed. TERMS AND CONDITIONS SAVINGS ACCOUNT Eligible for protection by PIDM TERMS AND CONDITIONS SAVINGS ACCOUNT Eligible for protection by PIDM 1. OPENING OF ACCOUNT 1.1 All application to open a Savings Account shall be made in person in the forms provided by the Bank. 1.2 The

More information

UBS Electronic Trading Agreement Global Markets

UBS Electronic Trading Agreement Global Markets UBS Electronic Trading Agreement Global Markets Version: 1.1 November 2014 I. UBS ELECTRONIC TRADING AGREEMENT 1.1 UBS Limited ( UBSL ) provides an electronic trading service, which enables certain clients

More information

JRI S STANDARD TERMS OF PURCHASE. Business Day: a day (other than a Saturday, Sunday or public holiday) when banks in London are open for business.

JRI S STANDARD TERMS OF PURCHASE. Business Day: a day (other than a Saturday, Sunday or public holiday) when banks in London are open for business. JRI S STANDARD TERMS OF PURCHASE 1. INTERPRETATION 1.1 Definitions. In these Conditions, the following definitions apply: Business Day: a day (other than a Saturday, Sunday or public holiday) when banks

More information

COMBINED SALON SUPPLIES

COMBINED SALON SUPPLIES COMBINED SALON SUPPLIES DEBTORS PURCHASING CRITERIA The supply of Hairdressing Products to other than a Registered Salon Owner is restricted by the Major Brand manufacturers, with whom we have a written

More information

National Stock Exchange, Inc. Waive-In Equity Trading Permit Holder Application

National Stock Exchange, Inc. Waive-In Equity Trading Permit Holder Application National Stock Exchange, Inc. Waive-In Equity Trading Permit Holder Application Equity Trading Permit Holders ( ETP Holders ) of the National Stock Exchange, Inc. ( NSX ) in good standing as of May 30,

More information

1.3 These Conditions may only be amended or varied by written agreement signed by both Parties.

1.3 These Conditions may only be amended or varied by written agreement signed by both Parties. TERMS AND CONDITIONS OF SALE AND PROVISION OF SERVICES 1. Sale of goods / Provision of services 1.1 Monash University ( Monash ) provides the goods and/or services subject to these terms and conditions,

More information

Terms of Business (Clients) of Evolve Consulting UK Ltd for the supply of Consultants

Terms of Business (Clients) of Evolve Consulting UK Ltd for the supply of Consultants Terms of Business (Clients) of Evolve Consulting UK Ltd for the supply of Consultants 1. Definitions 1.1. Expressions used in these Terms have the meanings assigned to them in any Contract Confirmation

More information

Software Escrow & Copyright Agents Pty Ltd - Software Escrow Agreement

Software Escrow & Copyright Agents Pty Ltd - Software Escrow Agreement Schedule 1 General Details Agreement Date Customer Customer ABN Customer Address Commencement Date As per the date the Customer began paying the Escrow Service Fee product as defined in the Master Agreement.

More information

Standard Terms & Conditions for Supply of Software Development Services

Standard Terms & Conditions for Supply of Software Development Services Sell your Products Online and Web by Numbers are brands of Web by Numbers Ltd (hereinafter referred to as Web by Numbers ) Standard Terms & Conditions for Supply of Software Development Services These

More information

BROKERAGE AGREEMENT. THIS AGREEMENT is made on BETWEEN:

BROKERAGE AGREEMENT. THIS AGREEMENT is made on BETWEEN: BROKERAGE AGREEMENT THIS AGREEMENT is made on BETWEEN: Patria Finance, a.s., a company organized and existing under the laws of the Czech Republic, registered office: Jungmannova 745/24, 110 00 Prague

More information

BUSINESS CARD APPLICATION FORM COMPANY SECTION BUSINESS CARD APPLICATION FORM EMPLOYEE SECTION. Company Name (legal): Company Name:

BUSINESS CARD APPLICATION FORM COMPANY SECTION BUSINESS CARD APPLICATION FORM EMPLOYEE SECTION. Company Name (legal): Company Name: BUSINESS CARD APPLICATION FORM EMPLOYEE SECTION Company Name: Employee Name: Title (Mr, Ms, Mrs): ID/PP/DP# Country/Date of Birth: Nationality: Sex: Male Female Name on Card: Mailing Address: Telephone

More information

INDIVIDUAL CLIENT AGREEMENT AGILITY FOREX LTD INDIVIDUAL CLIENT AGREEMENT

INDIVIDUAL CLIENT AGREEMENT AGILITY FOREX LTD INDIVIDUAL CLIENT AGREEMENT INDIVIDUAL CLIENT AGREEMENT INDIVIDUAL CLIENT AGREEMENT The following terms and conditions apply to individuals who are transacting: for their own account, as a sole proprietor of a business, as a trustee

More information

Account means a player s account, maintained on the CRM system to enable the player to participate in the weekly Lottery.

Account means a player s account, maintained on the CRM system to enable the player to participate in the weekly Lottery. YORKSHIRE AIR AMBULANCE LOTTERY TERMS & CONDITIONS OF PLAY INTRODUCTION These Terms and Conditions apply to the Yorkshire Air Ambulance Lottery. By playing the Yorkshire Air Ambulance Lottery players accept

More information

Balance Transfer Holiday PROGRAM- TERMS & CONDITIONS

Balance Transfer Holiday PROGRAM- TERMS & CONDITIONS Balance Transfer Holiday PROGRAM- TERMS & CONDITIONS In consideration of First Gulf Bank PJSC (the Bank ) agreeing to make available the Program (as defined below) to the Cardholder at the Cardholder s

More information

Insurance Producer Agreement

Insurance Producer Agreement Insurance Producer Agreement Section 1 - Producer s Authority The Producer shall periodically submit risks to the Company for its consideration as authorized by the Company. These risks shall be located

More information

SANLAM PERSONAL LOANS 3 (PTY) LTD ( SPL3 ) TERMS & CONDITIONS

SANLAM PERSONAL LOANS 3 (PTY) LTD ( SPL3 ) TERMS & CONDITIONS SANLAM PERSONAL LOANS 3 (PTY) LTD ( SPL3 ) TERMS & CONDITIONS 1 PLEASE NOTE: 1.1 these terms and conditions are the SPL3 Terms & Conditions, which are deemed to be incorporated in the Loan Agreement concluded

More information

Personal Loan Contract

Personal Loan Contract GE Money Personal Loan Contract Terms & Conditions GE imagination at work Contents What we lend and when 1 The annual interest rate 2 Interest charges 2 Repayments 3 Early repayment 3 Fees and charges

More information

Standard terms of engagement

Standard terms of engagement Standard terms of engagement Date Published: July 2013 Standard Terms of Engagement 1. Introduction These terms and conditions (Terms) apply to work performed for you by Crowe Horwath (NZ) Limited (including

More information

BRIARWOOD CAPITAL MANAGEMENT INC. MANAGED ACCOUNT AGREEMENT

BRIARWOOD CAPITAL MANAGEMENT INC. MANAGED ACCOUNT AGREEMENT BRIARWOOD CAPITAL MANAGEMENT INC. MANAGED ACCOUNT AGREEMENT THIS MANAGED ACCOUNT AGREEMENT (the "Agreement") is made by and between BRIARWOOD CAPITAL MANAGEMENT INC., a New York corporation (the "Advisor")

More information

BUSINESS CASH RESERVE AGREEMENT Effective: January 1, 2016

BUSINESS CASH RESERVE AGREEMENT Effective: January 1, 2016 BUSINESS CASH RESERVE AGREEMENT Effective: January 1, 2016 This Business Cash Reserve Agreement ("Cash Reserve Agreement"), Borrower's Application for Business Cash Reserve (Business Overdraft Protection),

More information

Application to open a Personal Account

Application to open a Personal Account 14-18 Copthall Avenue, London EC2R 7BN Telephone: +44 (0) 20 7920 6100 Facsimile: +44 (0) 20 7638 7642 www.unionbankuk.com Application to open a Personal Account 1 Application for a Current Account PLEASE

More information

Title: Mr Mrs Ms Others... Family Name (in block letters):... First Names (in block letters):... NIC No:...Nationality:...

Title: Mr Mrs Ms Others... Family Name (in block letters):... First Names (in block letters):... NIC No:...Nationality:... Business Credit Card Application Form (Nominee) Nominee Details Title: Mr Mrs Ms Others... Family Name (in block letters):... First Names (in block letters):... Embossing name on card (in block letters

More information

of Order means the Company`s written acknowledgment by letter fax or e- means [Excelsior Group International Limited] trading from

of Order means the Company`s written acknowledgment by letter fax or e- means [Excelsior Group International Limited] trading from TERMS & CONDITIONS OF SALE 1 Definitions Acknowledgement of Order means the Company`s written acknowledgment by letter fax or e- mail to the Customer detailing the Goods and/or Services to be provided

More information

BROKERAGE AGREEMENT. WHEREAS Broker wishes to gain access to and offer Paragon s specialized insurance products and services to its clients; and

BROKERAGE AGREEMENT. WHEREAS Broker wishes to gain access to and offer Paragon s specialized insurance products and services to its clients; and BROKERAGE AGREEMENT This Agreement, effective 2014 is between Paragon Insurance Holdings, LLC ( Paragon ), 45 Nod Road, Avon, Connecticut 06001 with underwriting office at 850 Fulton Street, Farmingdale,

More information

IRAINHAM STEEL I. Company Registration No...

IRAINHAM STEEL I. Company Registration No... IRAINHAM STEEL I Rainham Steel Company Ltd, Kathryn House, Manor Way Rainham, Essex, RM13 8RE Tel' 01708522311 Fax' 01708 559024 CUSTOMER CREDIT ACCOUNT APPLICATION Full Business Trading Name Registered

More information

MANAGEMENT AND ADMINISTRATIVE SERVICES AGREEMENT. between. Seadrill Management AS. and. Seadrill Partners LLC

MANAGEMENT AND ADMINISTRATIVE SERVICES AGREEMENT. between. Seadrill Management AS. and. Seadrill Partners LLC Execution Version MANAGEMENT AND ADMINISTRATIVE SERVICES AGREEMENT between Seadrill Management AS and Seadrill Partners LLC US 1475972v.11 CONTENTS Clause Page 1. APPOINTMENT AND EFFECTIVE DATE...1 2.

More information

Holiday Rent Collection Agreement

Holiday Rent Collection Agreement Holiday Rent Collection Agreement Last Modified: November 12, 2013 This Vacation Rent Collection Agreement (this "Agreement") is made and entered into between YapStone International Ltd, a limited liability

More information

Terms of Use Dedicated Servers

Terms of Use Dedicated Servers Terms of Use Dedicated Servers Overview This Agreement states the terms and conditions by which GIP will deliver and Customer will receive any or all of the services provided by GIP, including dedicated

More information

Return completed applications to: APAC-Texas, Inc. P.O. Box 20779 Beaumont, TX 77720 (409) 866-1444 Phone (409) 866-5541 Fax

Return completed applications to: APAC-Texas, Inc. P.O. Box 20779 Beaumont, TX 77720 (409) 866-1444 Phone (409) 866-5541 Fax Return completed applications to: APAC-Texas, Inc. P.O. Box 20779 Beaumont, TX 77720 (409) 866-1444 Phone (409) 866-5541 Fax APPLICATION FOR BUSINESS CREDIT Date: NOTE: This application for Business Credit

More information