Client Information Statement Clause Samples
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Client Information Statement. (a) I/We declare that all information that I/we have supplied to you (in the Client Information Statement or otherwise) is true, accurate and complete.
(b) I/We undertake to promptly notify you in writing, in any case no later than thirty (30) days, of any material changes to the information provided in my/our Client Information Statement and all other documents of information submitted or supplied by me/us to you.
(c) I/We authorize you or your Agents to conduct credit enquiry on me/us and to verify my/our identity, creditworthiness, on-going eligibility for the Account or such purpose which you and/or your Agents deem fit and other information at the time of opening the Account and at anytime throughout the continuance of the Account. You and your Agents may at your discretion refuse to open the Account and/or close any Account which has been opened for me/us without giving any reason.
Client Information Statement. The Customer warrants that the information contained in the attached Client Information Statement (which is required to be completed by the Customer pursuant to Rule 601(a) of the Exchange Rules) is true and complete. The Customer will notify MeesPierson forthwith of any material changes in the information supplied in the Client Information Statement. MeesPierson is entitled to rely on such information until it has received written notice of any changes therein.
Client Information Statement. I/ We agree that I/we have completed the Client Information Statement that has been provided to me/us by the Administrator’s Delegate. The price of Participating Shares may fluctuate dramatically. The price of Participating Shares may move up or down and may even become valueless. It is as likely that losses will be incurred rather than profits made as a result of buying and selling Participating Shares. Past performance does not indicate future performance. Investors should read the latest Memorandum and the risk factors in the Memorandum before subscribing for Participating Shares. Client assets which may be received or held by the Fund outside Hong Kong are subject to the laws and regulations of the relevant overseas jurisdiction. Consequently, such client assets may not enjoy the same protection as that conferred on client assets received or held in Hong Kong.
Client Information Statement. 27.1 The Client declares, warrants, represents and undertakes with Emperor that the Client Information Statement and the Authorised Person Information Statement, if any, is true, complete and correct and the Client will notify Emperor of any material changes to any information contained therein within 3 working days.
27.2 The Client agrees promptly: (a) to furnish such information(other than that contained in the Client Information Statement) concerning the Client and his financial position as the Emperor may reasonably request; (b) to notify the Emperor in writing if any of the representations and warranties herein cease to be true and correct in all material aspects; and
