CASH CLIENT AGREEMENTCash Client Agreement • February 28th, 2022 • Hong Kong
Contract Type FiledFebruary 28th, 2022 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-
CASH CLIENT AGREEMENTCash Client Agreement • December 17th, 2020 • Hong Kong
Contract Type FiledDecember 17th, 2020 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-
CASH CLIENT AGREEMENTCash Client Agreement • August 14th, 2020 • Hong Kong
Contract Type FiledAugust 14th, 2020 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-
CASH CLIENT AGREEMENTCash Client Agreement • July 8th, 2019 • Hong Kong
Contract Type FiledJuly 8th, 2019 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-
CASH CLIENT AGREEMENTCash Client Agreement • January 18th, 2017 • Hong Kong
Contract Type FiledJanuary 18th, 2017 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-
CASH CLIENT AGREEMENTCash Client Agreement • December 1st, 2015 • Hong Kong
Contract Type FiledDecember 1st, 2015 JurisdictionIn consideration of the Company’s opening and maintaining at the Client’s request more cash securities trading account(s) (“the Account”) for the Client and the Company’s agreeing to act as the Client’s agent or broker for the execution of orders for the purchase or sale of securities of every type and description, the Client hereby agrees to effect Transactions as hereinafter defined subject to the following terms and conditions of this Cash Client Agreement (“the Agreement”):-