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Notice on Public Offering of Hui Ju Bao Phase 201110A


2011-09-27

Bank of China foreign exchange wealth management products - Hui Ju Bao phase 201110A are offered for public sale to individual investors from September 28 to October 10, 2011.

The products of this phase consist of 11 variable-term items invested in USD, HKD, EUR, AUD and JPY, with an investment term of three or six months. The details are as follows:

Code Name Currency Investment Returns Start Date Maturity Date Yield (Annual Rate) Threshold Subscription Amount Sales Territory
HJB1110AU3M1 Variable term USD October 11, 2011 January 11, 2012 (subject to termination clause) 2.85% 8,000 Nationwide
HJB1110AU3M2(exclusive to Bank of China Prestigious Wealth Management) Variable term USD January 11, 2012 (subject to termination clause) 2.90% 30,000
HJB1110AU6M Variable term USD April 11, 2012 (subject to termination clause) 3.60% 8,000
HJB1110AH3M Variable term HKD January 11, 2012 (subject to termination clause) 1.90% 60,000
HJB1110AH6M Variable term HKD April 11, 2012 (subject to termination clause) 2.25% 60,000
HJB1110AE3M Variable term EUR January 11, 2012 (subject to termination clause) 3.00% 5,000
HJB1110AE6M1 Variable term EUR April 11, 2012 (subject to termination clause) 3.50% 5,000
HJB1110AE6M2 (exclusive to Bank of China Prestigious Wealth Management) Variable term EUR April 11, 2012 (subject to termination clause) 4.20% 100,000
HJB1110AA3M Variable term AUD January 11, 2012 (subject to termination clause) 5.70% 9,000
HJB1110AA6M Variable term AUD April 11, 2012 (subject to termination clause) 6.40% 9,000
HJB1110AJ3M Variable term JPY January 11, 2012 (subject to termination clause) 1.50% 650,000

Please refer to the product manual or consult the relationship manager for 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 27, 2011

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