Standard List of Fees and Commissions for Corporate Clients



Similar documents
and Conditions Corporate Banking

Nordea Bank AB Lithuania branch Price List for corporate customers Valid from 1 st of September, Contents

Table of Commissions and Fees for Enterprises

PRICE LIST FOR CORPORATE CLIENTS AND FINANCIAL INSTITUTIONS. published by Československá obchodná banka, a.s.

PRICE LIST OF SERVICES OF PPF banka a.s. for Legal Entities

Current account. Internet banking. Authorization SMS to confirm an active transaction. Savings account CZK, EUR, USD

FEES FOR THE SERVICES OF PRIMORSKA BANKA D.D.RIJEKA NUM. TYPE OF SERVICE FEE

RATES FOR CASH AND SETTLEMENT SERVICES TO CORPORATE CUSTOMERS (LEGAL ENTITIES AND PRIVATE ENTERPRENEURS)

List of Fees INDIVIDUALS

CHARGES CATALOGUE. For Individuals and Small Companies:

Citigold. List of Charges for Products and Services

EXTRACT FROM THE SERVICE CHARGE LIST FOR PRIVATE CUSTOMERS

Product Catalogue of NLB Prishtina- Price List

Price list for everyday banking services

5.4. Over EUR %; min.rsd 1,000 max.rsd.15, PAYMENT IN FOREIGN CURRENCY 6.1. With coverage in foreign currency 0.07% min.

AND CHARGES AND SERVICE FEES OF TELENOR BANKA FOR INDIVIDUALS

Service Tariffs Guide

Price List Valid as of Accounts, Information Service Charging Terms Price Account Terms

Terms & Conditions for Correspondent Banks

Tariff of Banking Fees and Commissions for Customers in CaixaBank, S.A. (Spółka Akcyjna) Oddział w Polsce

Terms & Conditions for Correspondent Banks

Table of Fees and Charges of DNB Bank Polska S.A. for corporate customers (handled in the Midas system).

Table of Fees and Commissions of

ii) Incidental charges iii) Closing Charges Tk. 300/- i) Account Maintenance Fee (Service Charges) ii) Incidental charges Nil iii) Closing Charges

Citikonto Plus package

Table of Fees and Charges of DNB Bank Polska S.A. for corporate customers (handled in the Midas system).

Table of Fees and Commissions of. ING Bank Śląski Spółka Akcyjna

SCHEDULE OF CHARGES & FEES

General Tariff. Issue Date: December 2015

Table of Fees and Charges of Bank DnB NORD Polska S.A. for corporate customers handled in the Midas system

MIZUHO BANK, LTD. TERMS AND CONDITIONS Bank s Service Charge and Fee BANGKOK BRANCH. 16 March Page 1 of 14

Minimum / Maximum charge. Quarterly, on the daily balance of the unutilised balance of the loan.

Bank Fees and Charges

Tariff of Banking Fees and Commissions of mbank for SME and Corporates

TERMS and CONDITIONS Applicable to Foreign Correspondents

T.C. ZİRAAT BANKASI Sofia Branch INDIVIDUAL CLIENTS PART ONE SERVICES IN LOCAL CURRENCY I. BANK ACCOUNTS II. CASH TRANSACTIONS IN BGN

Schedule of Fees, Commission and Charges Effective from January 01, 2012 Circular No: BASIC/HO/TD/2011/05 dated Tuesday, December 27, 2011

Minimum / Maximum charge

TERMS AND CONDITIONS (TARIFF) of First Investment Bank Ltd. Cyprus Branch (Fibank Cyprus Branch)

Table of commissions and fees for bank services rendered to Individuals (pursuing no business activity)

Corporate Banking. Tariff of Charges

Price list Private Individuals

Tariff of Banking Fees and Commissions of mbank for SME and Corporates

Retail Banking. General Tariff of Charges

Customer's bank account: opening, maintenance and closing

Comparative fees and charges: 01 January March 2015

Remittance. 0.18%, min. KZT 470 max. KZT 950 from to of Almaty time:

TARIFF fees for services rendered by Findomestic banka AD Beograd to corporate clients

Pricing Schedule. Effective from 1 st January Page

TERMS AND CONDITIONS APPLICABLE TO CREDIT INSTITUTIONS

International Business Price List

Words importing only the singular shall include the plural and vice versa.

Information about Changes of JSC Citadele banka Services Pricelist from January 1, 2015

SBS - Schedule of charges

Sberbank of Russia (Moscow), Custody Services Fee Schedule for Legal Entities, effective from March 1, 2015

GENERAL CONDITIONS APPLICABLE TO BUSINESS TRANSACTIONS WITH CORRESPONDENT BANKS

NATIONAL DEVELOPMENT BANK PLC

Schedule of Charges. St. Maarten. Retail

TERMS AND CONDITIONS OF PAYMENT ORDER IN FOREIGN EXCHANGE TRANSACTIONS AT PKO BP SA BANK

Accounts and bank transfers

Table of content. Account Services 1-2. Loans 2. Cards & Electronic Services 2-5. Global Payments 5-6. Guarantees 6. Disclaimer 6

0,5% (the bank - issuer of the card has the right to charge additional commission) 2 CASH DEPOSIT FEE 2.1

Business Banking Price List

Fees & Commissions Business customers & Professionals with Turnover < 3 million euro. Valid as of (rev.66)

Business and Services for Retail Accounts Croatian Kuna Current and Deposit Accounts Opening and maintaining a saving account

Tariff of Fees and Commissions (TARIFF) FIRST INVESTMENT BANK.

INDIVIDUALS LIST OF STANDARD COSTS. Bank of

Banking Service Charges Valid from 19 September 2014

Tariff of Charges - Banking Services

List of Charges of Česká Spořitelna a.s. for bank businesses (hereafter List of Charges)

Fees and charges. Account maintenance, safes, certification and enquiries

Commercial Bank Tariffs 2015

Fees for tax reclaims. Fees for partial / complete exemption from taxes. Legal fees³. Other miscellaneous fees

Alior Bank S.A. Table of Fees and Commissions for Individual Customers

PRODUCT TERMS AND CONDITIONS FOR CURRENT ACCOUNTS, TERM DEPOSITS AND DEBIT CARDS OF EQUA BANK a.s. (INDIVIDUALS)

MAYBANK CHINA BRANCH. (Aug.2015)

TARIFF GUIDE R ETAIL BANKING

Tariffs and Charges HBON Commercial Banking & Global Banking

DANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS

Pricing Guide 2014 Vietnam

Personal & Business banking charges

GBP 0.19 per line, minimum GBP 0.75 USD 0.30 per line, minimum USD 1.20 EUR 0.18 per line, minimum EUR 0.90 Ledger fees - Associations

Table of fees and commissions

International Products & Services. Fees, charges and services explained.

Tariff of Charges Banking Services

PRICING SCHEDULE FOR PRODUCTS & SERVICES APPLICABLE TO ACCOUNTS HELD BY FINANCIAL INSTITUTIONS CAIXA CENTRAL DE CRÉDITO AGRÍCOLA MÚTUO, CRL PORTUGAL

BCV account terms and conditions

BEST FORMS OF MONEY TRANSFER AND PAYMENT CONDITIONS

smile current accounts account charges

Excluding VAT BANK OF AFRICA APPROVED TARIFF GUIDE - JULY 2015 DOMESTIC SERVICES G E N E R A L S E R V I C E S T A R I F F S

D E C I S I O N. Of tariff fees for services rendered by FINDOMESTIC BANKA AD BEOGRAD for Physical persons

List of Terms and Conditions for Corporate Banking Page 1

Statement of Principal Interest Rates and Service Charges For Domestic Operations

Transcription:

Standard List of Fees and Commissions for Corporate Clients Expobank CZ a.s., Vítězná 126/1, Prague 5, PSČ 150 00, IČ: 14893649 (hereinafter only Bank) Valid from 1. 7. 2015

I. Opening, maintaining and closing of current accounts A. Opening, maintenance and closing of current accounts Opening an account Opening of another account in each currency Account closing Maintaining an account - according to delivery of account statement monthly (by post / e-mail) weekly (by post / e-mail) daily/after transaction (by post / e-mail) Each statement Opening and maintenance of savings account Opening and maintenance of deposit account 250,- / 150,- p.m. 300,- / 200,- p.m. 400,- / 300,- p.m. B. Main Current account for Notarial/Lawyer Escrow accounts Opening an account Account closing Maintaining an account - according to delivery of account statement monthly (by post / e-mail) weekly (by post / e-mail) daily/after transaction (by post / e-mail) Each statement Opening and maintenance of deposit account 50,- p.m. 100,- p.m. 200,- p.m. 1. Notarial/Lawyer/Court Escrow accounts* Opening an account for interest bearing accounts (one-time fee at the time escrow is accepted) Notarial/Lawyer Escrow account 200,- Court Escrow account Opening an account for non-interest bearing accounts (one-time fee at the time escrow is accepted) Notarial/Lawyer/Court Escrow account Maintaining an account Account closing Each statement Domestic payments and settlements

Incoming payments Outgoing payments Cash transaction Cash deposits Cash withdrawals * All fees related with Escrow accounts will be charged to the client's main account C. Deposit and savings accounts 1. Expo Business Savings Account [1] Maintaining an account according to delivery of account statement Monthly (by post / e-mail) Daily (by post / e-mail) 150,- Each statement Expo Business Savings Account includes: Opening of Expo Business Savings Account Cancellation of Expo Business Savings Account Providing account balance information over the telephone 30,- Minimum balance 0,- Expo Direct - Internet Banking Set up and administration fee [2] Domestic payments and settlements Incoming payments Four (4) monthly outgoing domestic payments [3] Other outgoing payments Entry, change, and cancellation of a recurring payment order via Internet Banking 30,- per transaction Cash transaction Cash deposits 1) These charges are also valid for the product LBBW Business Savings Account offered until 14. 10. 2014. 2) Issue of authenticator and re-generated PIN is charged in accordance to the valid List of Fees for Expobank Internet Banking. 3) entered by electronic means (standard one-time and recurring payments) 2. Expo Business Savings Account in EUR [1] Maintaining an account according to delivery of account statement Monthly (by post / e-mail) Daily (by post / e-mail) 150,- Expo Business Savings Account includes: Opening of Expo Business Savings Account

Cancellation of Expo Business Savings Account Providing account balance information over the telephone 30,- Minimum balance 0,- EUR Expo Direct - Internet Banking Set up and administration fee [2] Cash transaction Cash deposits 1) These charges are also valid for the product LBBW Business Savings Account in EUR offered until 14. 10. 2014. 2) Issue of Authenticator and re-generated PIN is charged in accordance to the valid List of Fees for Expobank Internet Banking. 3. IQ Business Savings Account with notice period Opening of the account Maintenance of the account Cancellation of the account Minimum balance Internet banking activation (information services) 0,- CZK / 0,- EUR Fee for the Internet Banking Service (information services) ** Incoming domestic payments * Cash deposit Outgoing domestic payments 20,- * Penalty for failure to the month notice period 0,25 % from withdrawal Account statement Account statement Fee for sending account statement: - monthly (by post / e-mail) 0,- - daily (by post / e-mail) 150,- Other payments and settlements follows part II. of Standard List of Fees and Commissions for Corporate Clients - Payments and Settlements, Clean Payments in Foreign Currencies. * Valid only for IQ Business Savings Account ** Issue of Authenticator and re-generated PIN is charged in accordance to the valid List of Fees for Expobank Internet Banking. 4. IQ Business Savings Account Opening, maintenance and cancellation of the account Incoming domestic payments Account statement Account statement (sent monthly) Other payments and settlements follows part II. of Standard List of Fees and Commissions for Corporate Clients - Payments and Settlements, Clean Payments in Foreign Currencies. D. Services related to transfers and payments realized on accounts Fax Contract Issuance of code card "Tan list" for fax contract 100,-

Blocking of a current account upon account holder's request 100,- E. Services related to statements of current accounts and bank confirmations Each statement mailed Extra copies of account statements - current year 100,- Extra copies of account statements - previous years 500,- Additional account statement in second language Electronic reporting of account statements via electronic banking system MULTICASH Reporting of account statements via MT940 Messages - SWIFT 500,- p.q. 650,- p.m., or equivalent in other currency Written confirmation of account balance - fax inland 100,- Written confirmation of account balance - fax abroad 150,- Written confirmation of account balance - mail 100,- Written confirmation of account balance - SWIFT 150,- Confirmation of paid-in capital 500,- Confirmation of deposit of funds for capital increase 500,- Assignment of deposit 1.000,- Assignment of deposit in favour of a third bank 15.000,- II. Payments and Settlements, Clean Payments in Foreign Currencies A. Domestic payments and settlements incoming payments (valid for payments from CZK accounts to CZK accounts) Incoming payment from other domestic bank 5,- Incoming payment within the Bank Establishment and cancelling of direct debit agreement, agreement to SIPO Change of direct debit agreement, agreement to SIPO 30,- Outgoing payment to other domestic bank in paper form 70,- Establishment and cancellation of standing order Change of standing order 30,- Transfer within the Bank from CZK account to CZK account in paper form 35,- Express / urgent outgoing payment to other domestic bank in paper form 300,- Standing order execution (outgoing payment) 5,- Direct debit, SIPO (outgoing payment) 5,- Request for direct debit in paper form 20,- Electronic Banking Outgoing payment to other domestic bank 5,-

Establishment, change or cancellation of standing order Standing order execution within the Bank (outgoing payment) Standing order execution to other domestic bank (outgoing payment) 5,- Transfer within the Bank from CZK account to CZK account (outgoing and incoming payment) Express / urgent outgoing payment to other domestic bank 300,- per item Request for direct debit 7,- Internet Banking Outgoing payment to other domestic bank 5,- Establishment, change or cancellation of standing order Standing order execution within the Bank (outgoing payment) Standing order execution to other domestic bank (outgoing payment) 5,- Transfer within the Bank from CZK account to CZK account (outgoing and incoming payment) Express / urgent outgoing payment to other domestic bank 300,- per item Request for direct debit 7,- B. Foreign and foreign currency payments (for foreign payments, payments in foreign currency, payments to the debit of foreign currency accounts or payments in favour of foreign currency accounts) Outgoing foreign payment 0.9 % min. 500,- max. 2.200,- Express / urgent payment delivered on paper application standard fee + 500,- Expo Express immediate outgoing foreign payment to AS Expobank (Latvia) and Expobank LLC (Russia)* Establishment of standing order 100,- Change of standing order 100,- 1.300,- Standing order execution (outgoing payment) 0.9 % min. 500,- max. 2.200,- Incoming foreign payment 0.9 % min. 350,- max. 2.200,- Incoming Expo euro payment** 200,- flat Incoming foreign payment for non-customers 0.9 % min. 500,- max. 2.200,- Transfer within the bank from foreign currency and/or in favour of foreign currency account in paper form Incoming payment from another domestic bank in favour of foreign currency account 10,- Outgoing payment from a foreign currency account to other domestic bank in a paper form 70,- 35,- Electronic Banking Outgoing foreign payment 0.9 % min. 350,- max. 2.000,- Express / urgent payment delivered on paper application standard fee + 500,- Expo Express immediate outgoing foreign payment to AS Expobank (Latvia) and Expobank LLC (Russia)* Transfer within the Bank Outgoing payment from foreign currency account to another domestic bank 7,- 1.300,- Establishment, change or cancellation of standing order Standing order execution order within the Bank Foreign standing order execution (outgoing payment) 0.9 % min. 350,- max. 2.000,- Standing order execution from foreign currency account to another domestic bank 7,-

Internet Banking Outgoing foreign payment 0.9 % min. 350,- max. 2.000,- Express / urgent payment delivered on paper application standard fee + 500,- Expo Express immediate outgoing foreign payment to AS Expobank (Latvia) and Expobank LLC (Russia)* Transfer within the Bank Outgoing payment from foreign currency account to another domestic bank 7,- 1.300,- Establishment, change or cancellation of standing order Standing order execution within the Bank Foreign standing order execution (outgoing payment) 0.9 % min. 350,- max. 2.000,- Standing order execution from foreign currency account to another domestic bank 7,- C. Other services Issuing of receipt for payments carried out / received 200,- Additional information about payment 300,- Suspended payment notification sent by email Rejected / cancelled payment notification sent by email Notification of the rejection / cancellation of the payment delivered via post Change of instructions of already executed payment Cancellation of already executed payment 60,- per item 90,- per item 300,- + charges of other banks 300,- + charges of other banks * Payment in EUR, USD, RUB and CZK **- the payment currency must be EUR - the payment amount may not exceed EUR 12.500 - the payment must be originated in a member state of the EU and be destinated for the member state of the EU - the fee instruction must be "SHA" (fee splitting) - the payment must contain the valid IBAN of the beneficiary - the payment must contain the valid BIC of beneficiary's bank - the payment must not contain any additional information for the bank - the information on the payment order must be precise and may not lead to inquiries These charges are also valid for the product LBBW euro payment offered until 14. 10. 2014. III. Cash Transactions A. Cash transactions Cash deposits to own account (to the account of the depositor or account to which the depositor has a right of disposal or deposit made by the employee of the owner of the account) Cash deposits to someone else s account made by the client of the bank (depositor is not the owner of the account or has right of disposal to the account) Cash deposit to someone else s account (depositor is not the owner of the account or has right of disposal to the account) 70,- (paid by depositor) Deposit or withdrawal of bigger number of coins (over 100 pieces) 1 % min. 100,- Cash withdrawals 65,- per transaction Cash withdrawals in foreign currency 1 % / over 0.5 mil. 0.5 %

Not-announced withdrawal according to the Bank's business terms and conditions 0.2 % Unrealized announced withdrawal 0.2 % Not-announced withdrawal in foreign currency according to the Bank's business terms and conditions 0.4 % Unrealized announced withdrawal in foreign currency 0.4 % Deposit of the takings - surcharge for processing of more than 15 deposit transactions of the Client per calendar month* *) Deposits made by third party are not account 70,- per deposit proceeded in the calendar month B. Foreign exchange - according to foreign exchange list of Expobank CZ a.s. CZK to foreign currencies (we sell) Foreign currencies to CZK (we buy) 2 % min. 50,- C. Other cash services Foreign exchange of damaged banknotes 10 % Exchange of banknotes (interchange, change etc.) 5 % min 25,- max 1.000,- Exchange of domestic banknotes and coins sorted by nominal value up to 100 units of the same nominal value Incoming payment collectable in cash only 1 % min 500,- IV. Documentary Letters of Credit A. Export and domestic suppliers letters of credit Pre-advice 1.000,- flat Advising commission / Advising of the L/C amount increase 0.2 % min. 1.500,- Handling commission 0.3 % min. 1.500,- Transfer of L/C 0.3 % min. 3.000,- Confirmation commission / the amount increase of confirmed L/C / prolongation of confirmed L/C validity* Deferred payment commission under confirmed L/C* Supervisory commission (unconfirmed L/C without forfaiting) 0.1 % min. 1.500,- Taking up of risk (unconfirmed L/C with forfaiting)* Amendment fee Closing of L/C due to non-utilisation / cancellation of L/C before expiry date 1.500,- flat 1.500,- flat Repeated claim due to not received instructions (second and following) 300,- Pre-checking of documents Advising of L/C to other bank first pre-check, each next min. 1.000,- - max. 5.000,- 1.000,- flat Discrepancies in the documents 1.500,- Preferential processing of L/C 1.000,- Registration of L/C / amendment 1.000,- Proposal of wording of L/C min. 3.000,- Forfaiting - flat contractual fee Consultancy in connection with the L/C

B. Import and domestic buyers letters of credit Pre-advice Commission for opening of L/C / increasing of L/C amount / prolongation of L/C validity plus commitment fee** Deferred payment plus commitment fee** 1.000,- flat 0.1 % min. 1.500,- monthly plus commitment fee ** 0.15 % min. 1.500,- monthly plus commitment fee ** Handling commission 0.3 % min. 1.500,- Amendment commission Closing of L/C due to non-utilization utilization / cancellation of L/C before expiry date 1.500,- flat 1.500,- flat Cancellation of L/C before issuing Express processing of application and opening of L/C within 2 (two) working days after submission of application to bank 2.000,- flat 2.500,- Proposal of wording of L/C min. 3.000,- Release of goods (goods shipped to the disposal of our bank) 1.500,- Consultancy in connection with the L/C Discrepancies in the documents 1.500,- Processing and evaluation of request for issuance of L/C / for providing of credit facility for issuance of L/Cs Preparation of contractual documentation / amendment of contractual documentation related to providing of L/C / credit facility for L/Cs C. Other services related to letters of credit Confirmation of assignment of the proceeds of L/C 2.500,- flat Transfer of the L/C proceeds in favour of customer of other bank 2.000,- Administration of outstanding documents for longer than 1 month 1.000,- monthly Confirmation issued at the client s request to L/C, min. 300,- Fees for other services not stated in the List of Fees will be charged as agreed. * depending on the creditworthiness of the issuing bank and lifetime of the L/C, resp. deferred payment ** depending on the creditworthiness of the client, collateral, lifetime and risk profile of the transaction Client can further be charged with telecommunication and postage costs arising from processing of Documentary Letters of Credit. These expenses are booked as follows: - SWIFT message: CZK 150,- - Fax message (one page): CZK 100,- inland; CZK 150,- Europe; CZK 200,- overseas; - telephone, mail, courier services: according to actual expenses V. Documentary and Bill Collections A. Seller s - export collection Handling commission 0.3 % min. 1.500,- Preferential processing of collection / payment 1.000,- Amendment of instructions 750,- Return of documents free of payment 1.500,- Repeated claims of collection instructions (second and following) / reminder of payment 300,-

Cancellation of collection order 1.000,- The fee for the transfer of the proceeds to a third bank 2.000,- Administration of overdue collection (fee is charged for administration of outstanding documents after expiry of 1 month from its due date) 500,- monthly Confirmation issued at the client s request to collection, min. 300,- Fees for other services not stated in the List of Fees will be charged as agreed. B. Purchaser s - import collection Handling commission 0.3 % min. 1.500,- Preferential processing of collection / payment 1.000,- Amendment of instructions 750,- Custody of a Bill of Exchange with a deferred payment 0.1 % min. 1.500,- Obtaining of acceptance of a Bill of Exchange 500,- Documents released "free of payment" 1.500,- Sending of collection instruction to other bank 500,- Repeated claims of collection instructions (second and following) / reminder of payment 300,- Release of goods (goods shipped to the disposal of our bank) 1.500,- Protest for non-payment, non-acceptance of a Bill of Exchange 1.500,- plus costs of notary Aval of import Bill of Exchange* Administration of overdue collection (fee is charged for administration of outstanding documents after expiry of 1 month from its due date) 500,- monthly Confirmation issued at the client s request to collection, min. 300,- Fees for other services not stated in the List of Fees will be charged as agreed. * depending on the creditworthiness of the client, collateral, lifetime and risk profile of the transaction Client can further be charged with telecommunication and postage costs arising from processing of Documentary and Bill Collection. These expenses are booked as follows: - SWIFT message: CZK 150,- - Fax message (one page): CZK 100,- inland; CZK 150,- Europe; CZK 200,- overseas; - telephone, mail, courier services: according to actual expenses VI. Credit Facilities, Information Service A. Loans Interest rate to be agreed upon, depending on market conditions, type of transaction and risk assessment of client. Commitment fee (calculated over the unused amount of credit) Credit maintenance fee (including overdraft) Fees for other services related to credit (lawyer services, expert evaluation of provided security, etc.) 500,- p.m. charged according to the actual expenses

B. Letters of guarantee Issuing of the guarantee / counter-guarantee / promise to issue a guarantee, min. 3.000,- Issuing of guarantee based on counter-guarantee* Commitment fee (calculated from the amount of the issued guarantee / counter-guarantee / promise to issue guarantee), in case of amount increase / extension of validity**, min. 1.500,- p.q. Amendment fee of a guarantee / counter-guarantee / promise to issue a guarantee, min. 2.500,- Advising of a guarantee 0.1 % min. 1.500,- - max. 5.000,- Advising of guarantee amendment 1.500,- Express processing of application and issuing of guarantee / counter-guarantee / promise to issue guarantee within 2 (two) working days after submission of application to bank 2.500,- Discharge the claim under guarantee / counter-guarantee 0.2 % min. 2.000,- Lodge the claim under guarantee / counter-guarantee 0.2 % min. 2.000,- Examination of guarantee wording and documents for lodging the claim under guarantee based on the request of the client 2.000,- Proposal of wording of guarantee / counter-guarantee / promise to issue guarantee, min. 3.000,- Cancellation of guarantee / counter-guarantee / promise to issue guarantee before issuance 2.000,- Repeated claim due to not received instructions (second and following) 300,- Administration of guarantee / counter-guarantee / promise to issue guarantee (fee is charged per every commenced month) Registration of a guarantee / guarantee amendment 1.000,- Confirmation issued at the client s request to guarantee / counter-guarantee / promise to issue guarantee Providing of services in connection with received guarantee (verification of signatures on guarantee / guarantee amendment /examination of guarantee wording / amendment wording etc.) Consultancy in connection with a guarantee / counter-guarantee / promise to issue a guarantee Processing and evaluation of request for guarantee / counter-guarantee / promise to issue guarantee / for providing of credit facility for guarantees / counter-guarantees / promises to issue guarantees Preparation of contractual documentation / amendment of contractual documentation related to providing of guarantee / counter-guarantee / promise to issue guarantee / credit facility for guarantees / counter-guarantees / promises to issue guarantees External services related to guarantee / counter-guarantee / promise to issue guarantee 500,-, min. 300,-, min. 500,- plus real costs, according to actual expenses Fees for other services not stated in the List of Fees will be charged as agreed. * depending on the creditworthiness of the issuing bank and lifetime of the guarantee / counter-guarantee ** depending on the creditworthiness of the client, collateral, lifetime and risk profile of the transaction Client can further be charged with telecommunication and postage costs arising from processing of guarantee / counter-guarantee / promise to issue guarantee. These expenses are booked as follows: - SWIFT message: CZK 150,- - Fax message (one page): CZK 100,- inland; CZK 150,- Europe; CZK 200,- overseas; - telephone, mail, courier services: according to actual expenses C. Informational service Auditors - inquiries: - client with commitment 1.500,- flat + VAT - client without commitment 1.000,- flat + VAT Bank information Other extraordinary services not listed in this List of Charges - per each commenced 15 min 1.000,- flat + VAT 250,- + VAT

VII. Investment Services and Treasury Sales products A. Trading domestic investment instruments In addition to fees for agency services for transactions and services paid to the bank, the client pays the external fees for example of Recording of investment instruments in CDCP (valid List of Fees of CDCP can be found on www.cdcp.cz ), pursuant to their current list of rates, if their services were used. Expenses paid by Expobank CZ a.s. to third parties are added to the transaction fees listed below, if their services were used. 1. Domestic shares the fee for share trade 0.80 % of the trade volume, min. 1.000,- The commission is charged from each fully and partially satisfied instruction - separately for the individual titles of investment instruments and separately for each individual and partially satisfied instruction. 2. Domestic bonds the fee for bond trade 0.60 % of the trade volume, min. 1.000,- B. Trading mutual funds Costs Expobank CZ has to pay to third parties in case their services have been used are added to the below listed transactional fees. Fee for executed deal Management fee Redemption Switch individual in accordance with the terms and conditions of the investment company individual in accordance with the terms and conditions of the investment company difference between up-front fee, min. 0.30 % C. Trading with ETF, foreign shares, bonds and investment certificates 1. ETF, Foreign Shares Fee for executed deal 0.80 %* of trade volume, min. 1.500,- 2. Foreign bonds the fee for bond trade 0.60 %* of trade volume, min. 1.500,- 3. Investment certificates Primary issue Secondary market - purchase 1.00 %* min. 1.000,- Secondary market - sale 0.70 %* min. 1.000,- according to the conditions determined for an individual emission, max. 3.00 % * Costs Expobank CZ has to pay to third parties in case their services have been used are added to the above listed transactional fees. 4. Joints provisions Management fee 0,30 % p.a. D. Repo transactions and Pledges Fee for executed deal (counterparty is always Expobank CZ a.s.) 500,- Margin call 150,- Pledge of foreign investment instruments for currency hedging purposes

E. Joint provisions for trading domestic and foreign investment instruments Conclusion of commission Agreement Submission of binding instructions Cancellation of uncovered purchase/sales instructions by bank 100,- Instructions not carried out Fee for preparing confirmation/notice - first copy Fee for preparing confirmation/notice - each additional copy 50,- Fee for the provision of other information with securities trading in written form 50,- F. Management of investment instruments registered at the Central Securities Depository (CSD) 1. Provision of account statements of the investment instruments owner* Account statement of the owner required on the account balance after 7. 7. 2010 inclusive client knows his/hers number in CSD 300,- client does not know his/hers number in CSD 500,- 2. Pledges* Registration, change of number of pledged investment instruments or cancellation of pledge of investment instruments 1.000,- 3. Other services* Other services requiring communication with CSD * Service is provided to clients of Expobank CZ a.s. G. Treasury Sales products Foreign currency transaction and currency derivatives Deposit transactions VIII. Payment Cards / EUR / USD A. Payment Card Usage Fees 1. Card Issue 2. Monthly Fee Maestro Business 100,- / 3.60 / 4.60 MasterCard Business - Standard Programme 130,- / 5,- / 6,- MasterCard Business - Executive Programme 250,- / 9,- / 12,- Additional Fee for Express Card Issue (with PIN code within 48 hours) 2,000,- / 73,- / 100,-

3. Limitations to Payment Card Usage Card Blocking Entry on Stoplist Automatic transfer from Card Blocking to Stoplist Card Unblocking 4. Other Services Account balance inquiry at an ATM Domestic 6,- / 0.20 / 0.30 Account balance inquiry at an ATM Abroad 6,- / 0.20 / 0.30 Change of PIN at ATM 50,- / 1.80 / 2.50 Mailing of forgotten PIN code 100,- / 3.60 / 5,- Additional statement of transactions 40,- / 1,50 / 2,- Issuing a card duplicate (in case of damage or change of name) 200,- / 7.30 / 10,- Re-issuing of the card (in case of loss or theft) 200,- / 7.30 / 10,- Change of weekly limit at the card 20,- / 0.75 / 1,- Change of ecommerce limit (limit for internet payments) Request for supplementary transaction documentation 300,- / 11,- / 15,- B. Payment Card Transactions Fees Withdrawal at ATM Domestic 6,50 / 0,24 / 0,32 Abroad 2.5 % of the amount min. 80,- / 3,- / 4,- Withdrawal at cash counters Cash Advance Domestic 20,- / 0.75 / 1,- + 0.45 % of the amount Cash Advance Abroad 2.5 % of the amount min. 80,- / 3,- / 4,- Payments at merchants IX. Other Services A. Hiring of safe deposit boxes Safe deposit boxes are available only in branches: Praha - Václavské náměstí, Brno nám. Svobody and Plzeň. Concrete sizes according to each branch. Max volume (cm 3 ) yearly rental fee 6 000 1.350 + VAT 9 000 1.650 + VAT 12 000 1.950 + VAT 15 000 2.400 + VAT 20 000 2.700 + VAT 35 000 3.150 + VAT

60 000 4.650 + VAT 80 000 5.400 + VAT 110 000 6.150 + VAT 200 000 6.900 + VAT Advance payment for lending of two keys 4.000,- Late vacation of safe deposit box after the contract expiration 10.000,- Not paying rental fee within 10 calendar days after the due date 200,- B. Mail boxes Using the hold mail box Advance payment for lending of two keys 1.000,- Late vacation of safe deposit box after the contract expiration 5.000,- individual price list available at each branch if boxes at disposal C. Escrow Account Fee for Providing and Maintenance of Escrow Account Checking of the documents 1.000,- Change of agreement - amendment fee 2.000,- 5.000,-; over 1.000.000,- 5.000,- + 0.1 % of total amount* *to be agreed (in extraordinary cases) D. Cash pooling Maintaining an account in the Cash pooling group to be agreed E. Cash concentrating Maintaining an account in the Cash Concentrating group to be agreed F. Other Execution at the client s account fee for processing 500,- X. Electronic Banking Services A. MULTICASH MULTICASH system installation (including consultancy and training) 8.000,- flat Connection of existing MULTICASH installation of other bank to Expobank CZ a.s Monthly maintenance fee (including electronic account statements, lists of foreign exchange rates of Expobank CZ a.s., actual account balance information, help-desk service, system up-grade) 4.000,- flat 800,- p.m. Additional training of MULTICASH users 3.500,- Technical intervation in MULTICASH system on the client s request 3.500,-

B. Expobank Internet Banking* Fee for the Internet Banking Service: Expo Direct Fee for the Internet Banking Service: Expo Business Direct Authenticator 30,- p.m. 200,- p.m. 350,- + VAT Re-generated PIN / PUK envelope 100,- * These charges are also valid for the products LBBW Direct and LBBW Business Direct offered until 14. 10. 2014. XI. Miscellaneous For operations not mentioned above, the Bank will charge a fee based on the amount of time involved in handling such an operation or act, proficiency of the worker performing the operation or act, their wage costs, and on the level of risk to be undertaken by the Bank by performing so. With regard to all these operations, we will debit the customer's current account for all postal communication and other costs such as taxes or other expenses paid by the Bank. At any moment the bank may replace this List of fees and commissions at reasonable extent in accordance with the rules set in General Business Conditions of the Bank in articles 44.2. to 44.5. (or respectively in valid General Business Conditions for consumer loans and credit cards in articles 21.2 to 21.5). Regarding the change of the List of fees the Client is granted the rights according to the above mentioned articles of General Business Conditions of the Bank (or respectively General Business Conditions for consumer loans and credit cards). Fees and commissions are unless otherwise stated. Czech National Bank spot middle rate valid at the day of processing is used to convert all fees stated and booked in a foreign currency with the exception of the fees bound to processing of foreign payments to which middle rate of the Bank is applied.