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Securities | ![]() |
Funds Deposit | ||||||
Client can deposit fund by cash, crossed cheque, ATM transfer or Telegraphic Transfer into the following bank accounts of the company:
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Funds Withdrawal | ||||||
Download the Cash Withdrawal Request Form. Complete and sign on the form then
fax it back to our settlement department at (852) 3108 9022. Client can also submit
the cash withdrawal form to our office in person. For valid cash withdrawal
instructions received before 12:00 noon on each working day, our company will
endeavor to deposit the withdrawal amount in the form of crossed cheque into the
designated bank account of the client provided in the account opening agreement
within the same day. All cheques will be made payable only in the same name of the
securities account holder.
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Physical Stock Withdrawals | ||||||
Clients need to visit our office in person and fill in the designated form for the
physical stock withdrawal request. In general, request will be processed within 4
working days. Clients need to collect the physical stock in person at our office during
office hours and all charges will be debited in the client’s securities account. |
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Physical Stock Deposit | ||||||
Clients need to bring along with their physical stock in person to our office for
physical stock deposit. Please note that the physical stock certificates should be in
client’s name. Sale order of physical stock will only be accepted by our company
normally after 14 working days when the physical stock has been deposited into
CCASS and good title of the stock has been obtained. |
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Settlement Instruction | ||||||
For withdrawal of the securities from our company to another brokerage firm or
HKSCC investor account, or deposit securities from another brokerage firm or HKSCC
investor account to our company, clients please download the Settlement Instruction
Form, fill in and submit the original form to our settlement department. All valid
settlement instructions will be processed promptly. |
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Confirmation of Deposit / Withdrawal of Funds / Stocks | ||||||
Daily / monthly statement will be issued and sent to clients as acknowledgement of
fund deposit/ fund withdrawal/ stock deposit or stock withdrawal. For clients with
Internet Trading Accounts, they can also view their daily and monthly statement
through their Internet Trading Accounts. |
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Please refer to "Trading Tariff" for details of the charges |