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DUAL CURRENCY DEPOSIT (“DCD”) TERM SHEET - HSBC

DUAL CURRENCY DEPOSIT (“DCD”) TERM SHEET - HSBC

DUAL CURRENCY DEPOSIT (“DCD”) TERM SHEET - HSBC

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2. With DCD Conversion<br />

<br />

If the DCD placement method is cash, the Converted Principal will be placed into a 1-week Savings Deposit at the<br />

prevailing interest rates of the Bank<br />

<br />

If the DCD placement method is to debit funds from existing accounts opened at the Bank, the Coupon Amount will<br />

be credited to accountholder name<br />

with account number<br />

credited to accountholder name<br />

, whereas the Converted Principal will be<br />

with account<br />

number<br />

Dual Currency Deposit Placement Condition<br />

I / We hereby confirm that the Bank only accepts my / our DCD placement whenever the Bank collects sufficient DCD<br />

amounts in each DCD tranche. After the Selling Period, if the Bank does not gather enough funds required, I / we request the<br />

Bank to automatically place the subscripted DCD amounts into a 1-week Savings Deposit, which the start date is the DCD<br />

Trade Date mentioned above, at the prevailing interest rates of the Bank if my / our DCD placement method is cash; or leave<br />

the subscripted DCD amounts in my / our accounts if my / our DCD placement method is to debit funds from my / our<br />

existing accounts.<br />

Investor’s Declaration<br />

I / We hereby confirm that the details given above are true and correct. I / We have read, understood and agreed to accept the<br />

DCD Key Feature Document which is served as the DCD terms and conditions (as they may be amended from time to time)<br />

of the Bank and acknowledge receipt of a copy of such documents.<br />

In relation to all current and future DCD transacted / to be transacted with the Bank, I / we am / are and will be transacting<br />

for my / our own account and not on behalf of any other person or entity. Prior to my / our transaction on such DCD<br />

placement for an account other than my / our own, I / we undertake to inform the Bank immediately so as to allow the Bank,<br />

at its absolute discretion, to refuse to enter into such transactions with me / us.<br />

Signature<br />

Verified<br />

Investor’s Full Name and Signature<br />

For Bank Use Only<br />

Relationship Manager Name<br />

Staff ID<br />

Date<br />

Approved by Sales Manager Name<br />

Approved Date<br />

Suspense Account Number<br />

Deal Number<br />

PUBLIC - Issued by <strong>HSBC</strong> Bank (Vietnam) Ltd.

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