Securities Trading Account definition

Securities Trading Account means an Account opened for the purpose of generally dealing in Securities including without limitation to any sub-account in respect of Hong Kong stocks, foreign stocks, bonds, interests in collective investment schemes and structure products, except for dealings in Securities Margin Account or Stock Options Account;;
Securities Trading Account means, with respect to any person, any securities sub-account of such person’s broker’s or custodians’ securities account, registered under the name of the relevant person, which sub-account is intended to receive Shares upon any conversion delivered pursuant to the exercise of any Conversion Rights by using a non US broker or custodian to facilitate the delivery of such Conversion Shares by Euroclear.
Securities Trading Account mean an account opened with MBKE under the name of the Customer for trading securities without using loan extended by MBKE.

Examples of Securities Trading Account in a sentence

  • As the Securities Trading Account is a trading and non-marginable account, the marginable value of stocks is not counted as purchasing power.

  • The Facility is extended to the Client in accordance with the provisions set out in this Schedule, any fee and charges advised from CIF to the Client and in the Securities Trading Account (collectively known as “Margin Facility Terms”).

  • The Client may also deposit into the Securities Trading Account listed Securities deemed acceptable by GFSHK from time to time (including but not limited to Securities listed on any stock market whose settlement is made in Accepted Currencies) (“Accepted Shares”).

  • The Client may deposit into the Client’s Securities Margin Account or Securities Trading Account cash denominated in currencies deemed acceptable to GFSHK from time to time (including but not limited to Hong Kong Dollars (“HKD”), United States Dollars (“USD”)and Renminbi (“RMB”)) (“Accepted Currencies”).

  • If you have agreed to our , as the case may be, in the event of inconsistency between such Terms & Conditions for Securities Trading and this privacy policy, such Terms & Conditions for Securities Trading Account shall prevail.

  • In case of a Securities Trading Account, which uses the Total Purchasing Power Function Client A may make enquiries in respect of his Total Purchasing Power.

  • In case of Client A’s Securities Trading Account, without using the Total Purchasing Power Function Client A will need to give Instructions to GFSHK to convert HKD187.5 to RMB150 in order to have sufficient funds, being RMB350 to purchase China A-Shares.

  • Risk Disclosure Statements 風險披露聲明 I / We acknowledge that the Agreement for Securities Trading Account including the Risk Disclosure Statements and Disclaimers in PART IV attached were provided in a language (English or Chinese) of my / our choices.

  • Either party undertakes to notify the other in the event of any material change to the information in this Agreement, the Securities Trading Account Application Form and any other relevant documents.

  • Page 2 Company as a constituent/client by opening Securities Trading Account vide No.342889 and was an imperial customer of the Company for about eight years.


More Definitions of Securities Trading Account

Securities Trading Account means the Account (as referenced in the General Terms and Conditions for Investment Accounts) and the Safe Custody Account (as referenced in the Custodian Services Terms and Conditions) maintained by the Bank for the Customer;
Securities Trading Account means Cash Account, Margin Account, Online Trading Account, Securities futures trading account and/or any other Securities trading account that the Client opens with the Company.
Securities Trading Account means the account to be opened at TVS in the name of the Client for exercise of securities trading transactions;
Securities Trading Account mean an account opened with MSVN under the name of the Customer for trading securities without using loan extended by MSVN.

Related to Securities Trading Account

  • Trading Account means the unique personified register of all completed transactions, open positions, orders and nontrading operations on the trading platform.

  • Securities Trading Act means the Securities Trading Act of 2007 no.75 of the Relevant Jurisdiction.

  • Equity Account Administrator means the brokerage firm utilized by the Company from time to time to create and administer accounts for participants in the Company’s equity plans and programs, including the Plan.

  • Joint Trading Account shall have the meaning set forth in the preamble of this Agreement.

  • Securities Transaction means a purchase of or sale of Securities.

  • Securities System means the Federal Reserve Book-Entry System, a clearing agency which acts as a Securities Depository, or another book entry system for the central handling of securities (including an Eligible Securities Depository).

  • Liquidity Account Investments means Deposit Securities or any other security or investment owned by the Fund that is rated not less than A3 by Moody’s, A- by Standard & Poor’s, A- by Fitch or an equivalent rating by any other NRSRO (or any such rating’s future equivalent) or if not rated, determined by the Adviser to be of comparable quality.

  • Securities Depositories means DTC; and, in accordance with then current guidelines of the Securities and Exchange Commission, such other addresses and/or such other securities depositories as the District may designate in a Written Request of the District delivered to the Paying Agent.

  • eligible foreign securities depository means a securities depository or clearing agency, incorporated or organized under the laws of a country other than the United States, which operates (i) the central system for handling securities or equivalent book-entries in that country, or (ii) a transnational system for the central handling of securities or equivalent book-entries. The Customer represents that its Board of Directors has approved each of the Subcustodians listed in Schedule B to this Agreement and the terms of the subcustody agreements between the Bank and each Subcustodian, which are attached as Exhibits I through of Schedule B, and further represents that its Board has determined that the use of each Subcustodian and the terms of each subcustody agreement are consistent with the best interests of the Fund(s) and its (their) shareholders. The Bank will supply the Customer with any amendment to Schedule B for approval. As requested by the Bank, the Customer will supply the Bank with certified copies of its Board of Directors resolution(s) with respect to the foregoing prior to placing Assets with any Subcustodian so approved.

  • Fund Custody Account means any of the accounts in the name of the Trust, which is provided for in Section 3.2 below.

  • Deposit Account is any “deposit account” as defined in the Code with such additions to such term as may hereafter be made.

  • Investment Account As defined in Section 3.12(a).

  • central securities depository or ‘CSD’ means a central securities depository as defined in point (1) of Article 2(1) of Regulation (EU) No 909/2014.

  • Personal Securities Transaction means any transaction in a Covered Security in which an Access Person has a direct or indirect Pecuniary Interest.

  • Personal Securities Transactions means any transaction in a Security pursuant to which an Access Person would have a Beneficial Ownership interest with the exception of obligations of the U.S. Government, bankers’ acceptances, bank certificates of deposit, money market fund shares, commercial paper, high quality short-term debt instruments and registered open-end investment companies, none of which are funds advised or sub-advised by the Firm.

  • Foreign Securities Depository means a foreign securities clearing system qualifying as an Eligible Securities Depository (as defined in Section (b)(1) of Rule 17f-7 under the 0000 Xxx) that is listed on Schedule B annexed hereto, as amended from time to time pursuant to Section 4.5 hereof.

  • Liquidity Account has the meaning set forth in Section 6.22(a).

  • Controlled Securities Account means each securities account (including all financial assets held therein and all certificates and instruments, if any, representing or evidencing such financial assets) that is the subject of an effective Control Agreement.

  • Client Securities Rules means the Securities and Futures (Client Securities) Rules (Cap 571H of the Laws of Hong Kong).

  • Securities Depository means The Depository Trust Company and any other clearing agency registered with the SEC under Section 17A of the Securities Exchange Act of 1934, as amended (the “1934 Act”), which acts as a system for the central handling of Securities where all Securities of any particular class or series of an issuer deposited within the system are treated as fungible and may be transferred or pledged by bookkeeping entry without physical delivery of the Securities.

  • Designated Deposit Account is Borrower’s deposit account, account number , maintained with Bank.

  • Securities Account is any “securities account” as defined in the Code with such additions to such term as may hereafter be made.

  • Private Securities Transaction means any securities transaction relating to new offerings of securities which are not registered with the Securities and Exchange Commission, provided however that transactions subject to the notification requirements of Rule 3050 of the Financial Industry Regulatory Authority’s (FINRA) Conduct Rules, transactions among immediate family members (as defined in the interpretation of the FINRA Board of Governors on free-riding and withholding) for which no associated person receives any selling compensation, and personal securities transactions in investment company and variable annuity securities shall be excluded.

  • Custody Account means each Securities custody account on Bank's records to which Financial Assets are or may be credited pursuant hereto.

  • Principal Funding Account Investment Proceeds shall have the meaning specified in subsection 4.03(a)(ii).

  • Securities Transfer Act means the Securities Transfer Act (British Columbia) from time to time in force and all amendments thereto and includes all regulations and amendments thereto made pursuant to that Act.