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| Trading & Settlement |
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Call Ms.Joanne Wong at 2869-9555, 2869-9554, Ms Lonlie Hung at 2869-9558, Ms. Crystal Fung at 2869-9503, Ms. Sheila Chau at 2869-9559 or Mr. Tony Espina at 2869-9504.
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State your account number, the stock code, "buy" or "sell", and the price.
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Once the transaction is executed, you will be informed.
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Client must deposit available fund to us before trading, the balance must settle on the settlement date. Interest charged on debit balance is prime rate + 8%. |
Client must deposit available fund to us before trading, the balance must settle on the settlement date. Interest charged on debit balance is prime rate + 8%. |
You can arrange fund withdrawal up to your credit balance by phone, email, or fax, we will prepare cross cheque in the name of yourself, you can pick up the cheque in person or ask us to deposit into your designated bank account. |
Please deposit cheque or transfer money to the following bank:
| Payable to:GOLDRIDE SECURITIES LIMITED |
| Settlement Banker List |
Account Number |
| The Bank of East Asia Ltd |
514-40-34869-4 |
| HSBC |
004-500-440003-001 |
| The Bank of East Asia Ltd |
015-514-40-34869-4 |
Please quote your Account name and Account number when you pay-in to the bank, and send us your bank receipt by fax to our settlement department (Fax No. 2877-1694)
We would like to draw your attention that the cutoff time of receipts of payments will be by 4:00 p.m. each day. Any receipts after 4:00 p.m. will be update next day. |
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