Dear customers,
The phase 51 "single product", one of Bank of China EUR Seven-Day Appointment - Seven-Day Automatic Renewal wealth management product series HJB1010G7D, is offered for public sale to individual investors from September 21 to 27, 2011. Because the introduction of the product falls on the National Day holiday, the investment returns starts on September 28 and matures on October 10, with an investment term of 12 days.
The automatic renewal wealth management product, a principal-guaranteed one for automatic renewal, consists of a series of continuous, single structured products ("single product") with fixed term and the same structure. This "single product" may have different yields depending on market factors. When a product series goes into its duration, Bank of China will announce the details of the "single product" of the next phase, such as the term and yield, within the period stipulated in the agreement before maturity of the current one. Investors can exercise the right of redemption before the maturity date of the current one. If investors exercise the right of redemption, the bank will transfer subscription funds and current investment returns into investors' specified accounts within the period; if the right of redemption is not exercised within the period, it is regarded as investors' default purchase of the next phase, and then the subscription funds will go to the duration of the next phase automatically. The current investment returns will be transferred into investors' specified account within the period.
Product series HJB1010G7D are invested in EUR, and 100 phases of variable-term "single product" under this series will be launched continuously for sale, with an investment term of seven calendar days (to be adjusted in case of holidays). The details of HJB1010G7D51 are as follows:
Series Code |
"Single Product" Code |
Short Name |
Currency |
Yield (Annual Rate) |
Investment Returns Start Date |
Maturity Date |
Sales Territory |
HJB1010G7D |
HJB1010G7D51 |
Seven-Day Appointment |
EUR |
2.25% |
September 28, 2011 |
October 10, 2011 (subject to termination clause) |
Zhejiang, Hunan, Hebei, Hainan, Jiangsu, Anhui, Henan, Gansu, Jiangxi, Jilin, Inner Mongolia, Liaoning, Sichuan, Fujian, Guangxi, Beijing, Tianjin, Yunnan, Shandong, Ningxia, Shanghai, Hubei, Shanxi, Heilongjiang and Guangdong |
During the subscription period of "single product" of each phase, Bank of China will publish the yield and other details about the product on its website. Please navigate through "Homepage >> Financial Data >> Net Value of Financial Products" for the yield of "single product" of each phase, and through "Homepage >> Customer Service >> Financial Products Manual" for the product manual of each phase.
Please refer to the product manual or consult the relationship manager for product details. Product sale and subscription information shall be subject to notices published by local outlets of the bank.
Thank you for your kind attention and support to the wealth management products of Bank of China!
September 20, 2011
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