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2024 Disclaimer /免責聲明



This document/communication/information (“document”) is provided in Hong Kong by BNP Paribas, acting through its Hong Kong branch, in Singapore by BNP Paribas, acting through its Singapore branch, and in Thailand by BNP Paribas, acting through its Singapore branch via BNP Paribas Securities (Thailand) Limited. BNP Paribas is a public limited company (société anonyme) incorporated in France with liability of its members limited. BNP Paribas, acting through its Hong Kong branch is a licensed bank regulated by the Hong Kong Monetary Authority, a Registered Institution under the Securities and Futures Ordinance of Hong Kong (Cap. 571), and registered with the Securities and Futures Commission (SFC) to carry on Types 1, 4, 6 and 9 regulated activities in Hong Kong (SFC CE Reference: AAF564). BNP Paribas, acting through its Singapore branch (UEN/Registration No: S71FC2142G), is a licensed bank regulated by the Monetary Authority of Singapore. BNP Paribas Wealth Management is the business line name for the Wealth Management activity conducted by BNP Paribas. “BNP Paribas Wealth Management” (UEN/Registration No 53347235X) is a business name registered in Singapore under the Business Names Registration Act 2014. BNP Paribas Securities (Thailand) Limited (Registration Number 0105565019213) is a private company incorporated in Thailand, and registered with the Ministry of Finance and the Securities and Exchange Commission to provide securities and derivatives services. For the purposes of this disclaimer, “BNP Paribas” shall refer to BNP Paribas (including its branches) and BNP Paribas Securities (Thailand) Limited.

This document is produced for general information only and should not be used as sole reference for entering into any specific transaction, and the information and opinions contained herein should not be relied upon as authoritative or taken in substitution for the exercise of judgment by any recipient or the seeking of independent professional advice (such as financial, legal, accounting, tax or other advice) by any recipient. This document is not intended to be an offer or a solicitation to buy or to sell or to enter into any transaction. In addition, this document and its contents is not intended to be an advertisement, inducement or representation of any kind or form whatsoever. BNP Paribas reserves the right (but is not obliged) to vary the information in this document at any time without notice and, save to the extent provided otherwise in Clause 6.5 of BNP Paribas Wealth Management’s Terms and Conditions (“T&Cs”) and/or Clause 9 of BNP Paribas Securities (Thailand) Limited’s Terms and Conditions for Offshore Investment (“Offshore Investment T&Cs”) applicable to your account, BNP Paribas shall not be responsible for any consequences arising from such variation.

Where this document is provided to you by BNP Paribas, acting through its Singapore branch via BNP Paribas Securities (Thailand) Limited, to the extent of (i) any conflict or inconsistency between this particular disclaimer and other disclaimer(s) in the document, and/or (ii) any conflict or inconsistency between this particular disclaimer and the Acknowledgement for Transactions and Investments in the Products that you may sign and provide to BNP Paribas, the provisions of this particular disclaimer shall prevail.

The terms set forth herein are intended for discussion purposes only and are subject to the final expression of the terms of the transaction, if the investor decides to proceed with the transaction. It does not represent (a) the actual terms on which a transaction would be entered into, (b) the actual terms on which any existing transactions could be unwound, (c) the calculation or estimate of an amount that would be payable following an early termination of the transactions, or (d) the actual valuations given to the transactions by BNP Paribas in its books of account for financial reporting. The final terms of the transaction will be set forth in the final term sheet, any applicable agreement and/or confirmation. Please also refer to the disclaimer statements contained in the relevant documents, and disclosure and other important information concerning our fees, charges and/or commissions as set out in the Fee Schedule.

If this document is a post-trade/transaction confirmation, please examine the information as set out in this document carefully and contact us immediately if you notice any discrepancy. The content of this document is subject to the final transaction(s) details / information in our official bank statements and/or advices (if any) which may follow by mail. This document contains confidential information intended only for the use of the addressee(s) named above. If you are not the addressee(s), you must not disseminate, copy or take any action in reliance on it. If you have received this document by error, please notify BNP Paribas and delete/destroy this document immediately.

Although the information and opinions provided herein may have been obtained or derived from published or unpublished sources considered to be reliable and while all reasonable care has been taken in the preparation of this document, BNP Paribas does not make any representation or warranty, express or implied, as to its accuracy or completeness and, save to the extent provided otherwise in Clause 6.5 of the T&Cs and/or Clause 9 of the Offshore Investment T&Cs applicable to your account, BNP Paribas shall not be responsible for any inaccuracy, error or omission. All analysis, estimates and opinions contained in this document constitute BNP Paribas’ own judgments as of the date of this document, and such expressions of opinion are subject to change without notice. Information provided herein may contain forward-looking statements. The words "believe", "expect", anticipate", "project", "estimate", "predict", "is confident", "has confidence" and similar expressions are also intended to identify forward-looking statements. These forward-looking statements are not historical facts but based on the current beliefs, assumptions, expectations, estimates, and projections of BNP Paribas in light of the information presently available, and involve both known and unknown risks and uncertainties. These forward-looking statements are not guarantees of future performance and are subject to risks, uncertainties and other factors, some of which are beyond control and are difficult to predict. Consequently, actual results could differ materially from those expressed, implied or forecasted in these forward looking statements. Investors should form their own independent judgment on any forward-looking statements and seek their own advice from professional advisers to understand such forward-looking statements. BNP Paribas does not undertake to update these forward looking statements. Where investors take into account any theoretical historical information regarding the performance of the product/investment, investors should bear in mind that any reference to past performance should not be taken as an indication of future performance. BNP Paribas is not giving any warranties, guarantee or representation as to the expected or projected success, profitability, return, performance, result, effect, consequence or benefit of any investment/ transaction. Save to the extent provided otherwise in Clause 6.5 of the T&Cs and/or Clause 9 of the Offshore Investment T&Cs applicable to your account, no BNP Paribas group company or entity therefore accepts any liability whatsoever for any loss arising, whether direct or indirect, from the use of or reliance on this document or any part of the information provided.

Structured transactions are complex and may involve a high risk of loss including possible loss of the principal invested. If any product mentioned in this document is a structured product which involves derivatives, do not invest in it unless you fully understand and are willing to assume the risks associated with it. If you are in any doubt about the risks involved in any product/transaction, you should seek independent professional advice.

Prior to entering into any transaction, each investor/subscriber should fully understand the terms, conditions and features of the product/investment as well as the risks, the merits and the suitability of entering into any transaction/investment including any market risk associated with the issuer, and consult with their own independent legal, regulatory, tax, financial and accounting advisors before making the investment. Investors/subscribers should fully understand the features of the investment, be financially able to bear a loss of their investment and be willing to accept all risks involved. Save as otherwise expressly agreed in writing, (a) where BNP Paribas does not solicit the sale of or recommend any financial product to the investor/subscriber, BNP Paribas is not acting as financial adviser of the investor/subscriber in any transaction, and (b) in all cases, BNP Paribas is not acting as fiduciary of the investor/subscriber with respect to any transaction.

BNP Paribas and/or persons associated or connected with it may effect or have effected a transaction for their own account in a product/an investment described in this document or any related product before or after this document is published. On the date of this document, BNP Paribas and/or persons associated or connected with it and their respective directors and/or representatives and/or employees may take proprietary positions and may have a long or short position or other interests or make a market in a product mentioned in this document, or in derivative instruments based thereon, and may purchase and/or sell the investment(s) at any time in the open market or otherwise, whether as principal or as agent or as market maker. Additionally, BNP Paribas and/or persons associated or connected with it may have within the previous twelve months acted as an investment banker or may have provided significant advice or investment services to the companies or in relation to a product mentioned in this document.

This document is confidential and intended solely for the use of BNP Paribas and its affiliates, their respective directors, officers and/or employees and the persons to whom this document has been delivered. It may not be distributed, published, reproduced or disclosed by any recipient to any other person, nor may it be quoted or referred to in any document, without the prior written consent of BNP Paribas.

Hong Kong: This document is distributed in Hong Kong by BNP Paribas, acting through its Hong Kong branch only to Professional Investors within the meaning of Part I of Schedule 1 to the Securities and Futures Ordinance of Hong Kong (Cap. 571). The products or transactions described in this document may not be authorised in Hong Kong and may not be available to Hong Kong investors.

Singapore: This document is distributed in Singapore by BNP Paribas, acting through its Singapore branch only to Accredited Investors within the meaning of the Securities and Futures Act 2001 only and is not intended for investors in Singapore who are not such Accredited Investors and should not be passed on to any such persons. Some products or transactions described in this document may not be authorised in Singapore and may not be available to Singapore investors.

Where this document is distributed by BNP Paribas to a person in Singapore who is not an Accredited Investor, Expert Investor or an Institutional Investor, BNP Paribas, acting through its Singapore branch accepts legal responsibility for the contents of this document to such person only to the extent required by applicable law.

Thailand: This document is distributed in Thailand by BNP Paribas, acting through its Singapore branch via BNP Paribas Securities (Thailand) Limited only to ultra-high net worth investors within the meaning of Securities and Exchange Act B.E. 2535 and is not intended for investors in Thailand who are not such ultra-high net worth investors and should not be passed on to any such persons. Such products or transactions described in this document may not be authorised in Thailand and may not be available to Thailand investors.

Save to the extent provided otherwise in Clause 6.5 of the T&Cs and/or Clause 9 of the Offshore Investment T&Cs applicable to your account, information in this document is for general circulation to the intended recipients only and is not intended to be a recommendation or investment advice to recipients hereof. A recipient of this document should seek advice from its/his/her own professional adviser regarding the suitability of the products or transactions (taking into account the recipient's specific investment objectives, financial situation and particular needs) as well as the risks involved in such products or transactions before a commitment to purchase or enter into any product or transaction is made.

Please note that this document may relate to a product or products where BNP Paribas is issuer, and in such instance this document or certain information contained therein may have been prepared by BNP Paribas in its capacity as product issuer (“Issuer Document”). Where an Issuer Document is provided to you by BNP Paribas, acting through its Hong Kong branch or BNP Paribas, acting through its Singapore branch in its capacity as distributor, or BNP Paribas, acting through its Singapore branch via BNP Paribas Securities (Thailand) Limited, it shall also be subject to Clause 6.5 of the T&Cs and/or Clause 9 of the Offshore Investment T&Cs. To the extent that there is any inconsistency between the terms of an Issuer Document and Clause 6.5 of the T&Cs and/or Clause 9 of the Offshore Investment T&Cs, the latter shall prevail.

Generally, please take note that various potential and actual conflicts of interest may arise from the overall investment activities or the roles of the parties involved in any investment product or transaction, their investment professionals and/or their affiliates. In particular, the counterparty / issuer / provider or its related entities or affiliates can offer or manage other investments which interests may be different to the interest of your investments in that investment product or transaction; or for cases where the product counterparty or issuer is BNP Paribas or its related entity or affiliate, BNP Paribas may also act as distributor, guarantor, calculation agent and/or arranger of the same product. BNP Paribas and its affiliates and persons associated or connected with it (collectively "BNP Paribas Group") may make a market in, or may, as principal or agent, buy or sell securities mentioned in this document or derivatives thereon. BNP Paribas Group may have a financial interest in the issuers mentioned in this document, including a long or short position in their securities, and/or options, futures or other derivative instruments based thereon. BNP Paribas Group, including its officers and employees may serve or have served as an officer, director or in an advisory capacity for any issuer mentioned in this document. BNP Paribas Group may, from time to time, solicit, perform or have performed investment banking, underwriting or other services (including acting as adviser, manager, underwriter or lender) within the last 12 months for any issuer referred to in this document. BNP Paribas Group may, to the extent permitted by law, have acted upon or used the information contained herein, or the research or analysis on which it was based, before its publication. Members of the BNP Paribas Group may face possible conflicts of interest in connection with certain duties under structured products. For example, it and its affiliates may trade an underlying for their own account or for the account of others. It or its affiliates may receive a portion of the management or other fees charged with any of the underlyings. BNP Paribas may offer other services to entities associated with an underlying, for which they may be remunerated. All of these activities may result in conflicts of interest with respect to certain financial interests of BNP Paribas.

Where this document includes a reference to real estate, please note that real estate service offered in Hong Kong by BNP Paribas, acting through its Hong Kong branch exclusively relates to real estate properties outside Hong Kong. Specifically, BNP Paribas, acting through its Hong Kong branch is not licensed to deal with any real estate property situated in Hong Kong. BNP Paribas, acting through its Singapore branch and BNP Paribas Securities (Thailand) Limited are not licensed to and do not offer real estate service, and nothing herein should be construed as such.

BNP Paribas clients and counterparties are responsible for ensuring that they comply with applicable provisions of Executive Order (EO) 13959, as amended (and any subsequent official guidance). For the full details of the EO, you may want to consult the following websites: For the EO itself,, and for the latest guidance on this EO provided by the OFAC,

By accepting this document, you agree to be bound by the foregoing limitations. In case there is a Chinese version and there is any ambiguity or difference of meaning between the English version and the Chinese versions, the English version shall prevail. In respect of any transactions or arrangement with BNP Paribas, acting through its Singapore branch, the English version is the only operative version and the Chinese version shall be disregarded.

You may contact BNP Paribas, acting through its Singapore branch at 10 Collyer Quay, #35-01 Ocean Financial Centre, Singapore 049315; Tel: (65) 6210 3888; Fax: (65) 6210 3861 in respect of any matters arising from, or in connection with, this document. This paragraph does not apply to you if you are (a) not resident in Singapore and you are (b) served by a Relationship Manager in Hong Kong. If you satisfy (a) and (b), you may contact BNP Paribas, acting through its Hong Kong branch at 63/F Two International Finance Centre, 8 Finance Street, Central, Hong Kong; Tel: (852) 2909 8888, in respect of any matters arising from, or in connection with, this document.

Photo credit @Getty images

© BNP Paribas (2024). All rights reserved.


本文件/通訊/資料(統稱「文件」)由法國巴黎銀行,透過其香港分行在香港提供,由法國巴黎銀行,透過其新加坡分行在新加坡提供,以及由法國巴黎銀行,透過其新加坡分行經BNP Paribas Securities (Thailand) Limited(「法國巴黎銀行證劵(泰國)有限公司」)提供。法國巴黎銀行是一家在法國成立的公眾有限公司(société anonyme),其成員承擔有限法律責任。法國巴黎銀行,透過其香港分行為受香港金融管理局監管的持牌銀行,及《證券及期貨條例》(香港法例第571章)所指的註冊機構; 於香港證券及期貨事務監察委員會(「證監會」)註冊,獲准進行第1、4、6及9類受規管活動(證監會中央編號:AAF564)。法國巴黎銀行,透過其新加坡分行(單一機構識別號碼/註冊編號:S71FC2142G)為受新加坡金融管理局監管的持牌銀行。「法國巴黎銀行財富管理」乃法國巴黎銀行營運之財富管理業務之名稱。「法國巴黎銀行財富管理」(單一機構識別號碼/註冊編號:53347235X)是根據Business Names Registration Act 2014在新加坡註冊之企業名稱。法國巴黎銀行證劵(泰國)有限公司(註冊編號:0105565019213))是一間於泰國成立的私人公司,並經泰國財政部和泰國證券交易委員會註冊,以提供證券及衍生工具服務。就本免責聲明而言,「法國巴黎銀行」是指法國巴黎銀行(包括其分行)及法國巴黎銀行證劵(泰國)有限公司。


當法國巴黎銀行透過其新加坡分行經法國巴黎銀行證劵(泰國)有限公司向閣下提供本文件,若:(1)本免責聲明與本文件所載的任何其它免責聲明之間存有衝突或不一致性,及/或(2)本免責聲明與閣下簽署並向法國巴黎銀行提供的產品交易和投資認可書(Acknowledgment for Transactions)之間存有衝突或不一致性,概以本免責聲明的條文為準。

本文件所載資料僅擬作討論用途,若投資者決定進行有關交易,將受制於有關交易的最終條款所約束。它並不代表 (1) 交易的實際條款,(2) 任何現有交易可以解除的實際條款,(3) 交易提早終止後應支付金額的計算或估算,或(4) 法國巴黎銀行在其財務報告賬目中給出的交易實際估值。交易的最終條款將載於條款清單、適用條款合同和/或確認書。另請參閱有關文件所載之免責聲明,以及本行收費表中有關費用、收費及/或佣金的披露及其他重要資料。




各投資者/認購方在訂立任何一項交易前,應充份了解產品/投資的條款、條件及特點,以及訂立交易/投資的風險、優點及適用性(包括與發行人相關的任何市場風險),並在作出投資前諮詢其本身獨立的法律、監管、稅務、財務及會計顧問。投資者/認購方應充份了解有關投資的特點,而且具有承擔投資損失的財力,和願意承擔所有相關風險。除非另有明確書面協定,否則 (1) 若法國巴黎銀行無向投資者/認購方游說出售或建議任何金融產品,其於任何交易中均非以財務顧問的身份為投資者/認購方行事,以及 (2) 無論如何,法國巴黎銀行於任何交易中均非以受信人的身份為投資者/認購方行事。




新加坡:本文件由法國巴黎銀行,透過其新加坡分行在新加坡僅派發予認可投資者 (Accredited Investors) (定義見新加坡法例《證券及期貨法》(Securities and Futures Act 2001)),並且不擬向非認可投資者的新加坡投資者派發,亦不應供任何該等人士傳閱。本文件所述的部份產品或交易在新加坡可能未經許可,及不可向新加坡投資者發售。

如本文件由法國巴黎銀行在新加坡派發予非認可投資者、非專家投資者 (Expert Investor) 或非機構投資者 (Institutional Investor) 人士,法國巴黎銀行(透過其新加坡分行)僅就本文件內容向該人士承擔相關法例所規定的法律責任。

泰國:本文件由法國巴黎銀行,透過其新加坡分行經法國巴黎銀行證劵(泰國)有限公司,僅提供給於泰國境内《Securities and Exchange Act》B.E.2535定義中的超高淨值投資者。本文不適用於非超高淨值的投資者,亦不應被供任何該等人士傳閱。本文件所述的部份產品或交易在泰國可能未經許可,及不可向泰國投資者發售。


請注意,本文件可能與法國巴黎銀行作為發行人的產品有關,在此情況下,本文件或本文件所載資料可能由法國巴黎銀行作為產品發行人的身份編制(「發行人文件」)。當發行人文件由法國巴黎銀行,透過其香港分行,或由法國巴黎銀行,透過其新加坡分行,以分銷商的身份提供給閣下時,或由法國巴黎銀行,透過其新加坡分行經法國巴黎銀行證劵(泰國)有限公司提供給閣下時,該發行人文件亦受制於適用於閣下賬戶的財富管理條款及條件第6.5條 及 / 或境外條款及條件第9條。如發行人文件的條款與適用於閣下賬戶的財富管理條款及條件第6.5條及 / 或境外條款及條件第9條之間存在任何不一致,概以後者為準。



法國巴黎銀行之客戶及交易對手有責任確保自身遵守美國第13959號行政命令(EO) (經修訂)適用之規定(及後續所有官方指引)。有關該行政命令的全部詳情,請閣下參閲以下網頁:如需查閲該行政命令全文,請訪問,如需了解美國財政部外國資產管理辦公室(OFAC)就該行政命令發佈之最新指引,請訪問


就任何有關本文件或因本文件產生的事宜,閣下可與法國巴黎銀行(透過其新加坡分行)(10 Collyer Quay, #35-01 Ocean Financial Centre, Singapore 049315(電話:(65) 6210 3888;傳真:(65) 6210 3861))聯絡。如閣下 (a) 並非新加坡居民,及 (b) 由在香港的客戶經理提供服務,則本段落不適用於閣下。如閣下符合 (a) 及 (b) 條件,閣下可就任何有關本文件或因本文件產生的事宜與法國巴黎銀行(透過其香港分行)(香港中環金融街8號國際金融中心二期63樓(電話:(852) 2909 8888))聯絡。

圖片源自© Getty Images。

© BNP Paribas (2024) 版權所有。


本文件/通讯/信息(统称“文件”)由法国巴黎银行,透过其香港分行在香港提供,由法国巴黎银行,透过其新加坡分行在新加坡提供,以及由法国巴黎银行,透过其新加坡分行经BNP Paribas Securities (Thailand) Limited(“法国巴黎银行证劵(泰国)有限公司”)提供。法国巴黎银行是一家在法国成立的公众有限公司(société anonyme),其成员承担有限法律责任。法国巴黎银行,透过其香港分行为受香港金融管理局监管的持牌银行,及《证券及期货条例》(香港法例第571章)所指的注册机构; 于香港证券及期货事务监察委员会(“证监会”)注册,获准进行第1、4、6及9类受规管活动(证监会中央编号:AAF564)。法国巴黎银行,透过其新加坡分行(单一机构识别号码/注册编号:S71FC2142G)为受新加坡金融管理局监管的持牌银行。“法国巴黎银行财富管理”乃法国巴黎银行营运之财富管理业务之名称。“法国巴黎银行财富管理”(单一机构识别号码/注册编号:53347235X)是根据Business Names Registration Act 2014在新加坡注册之企业名称。法国巴黎银行证劵(泰国)有限公司(注册编号:0105565019213))是一间于泰国成立的私人公司,并经泰国财政部和泰国证券交易委员会注册,以提供证券及衍生工具服务。就本免责声明而言,“法国巴黎银行”是指法国巴黎银行(包括其分行)及法国巴黎银行证劵(泰国)有限公司。


当法国巴黎银行透过其新加坡分行经法国巴黎银行证劵(泰国)有限公司向阁下提供本文件,若:(1)本免责声明与本文件所载的任何其它免责声明之间存有冲突或不一致性,及/或(2)本免责声明与阁下签署并向法国巴黎银行提供的产品交易和投资认可书(Acknowledgment for Transactions)之间存有冲突或不一致性,概以本免责声明的条文为准。

本文件所载资料仅拟作讨论用途,若投资者决定进行有关交易,将受制于有关交易的最终条款所约束。它并不代表 (1) 交易的实际条款,(2) 任何现有交易可以解除的实际条款,(3) 交易提早终止后应支付金额的计算或估算,或(4) 法国巴黎银行在其财务报告账目中给出的交易实际估值。交易的最终条款将载于条款清单、适用条款合同和/或确认书。另请参阅有关文件所载之免责声明,以及本行收费表中有关费用、收费及/或佣金的披露及其他重要资料。




各投资者/认购方在订立任何一项交易前,应充份了解产品/投资的条款、条件及特点,以及订立交易/投资的风险、优点及适用性(包括与发行人相关的任何市场风险),并在作出投资前咨询其本身独立的法律、监管、税务、财务及会计顾问。投资者/认购方应充份了解有关投资的特点,而且具有承担投资损失的财力,和愿意承担所有相关风险。除非另有明确书面协定,否则 (1) 若法国巴黎银行无向投资者/认购方游说出售或建议任何金融产品,其于任何交易中均非以财务顾问的身份为投资者/认购方行事,以及 (2) 无论如何,法国巴黎银行于任何交易中均非以受信人的身份为投资者/认购方行事。




新加坡:本文件由法国巴黎银行,透过其新加坡分行在新加坡仅派发予认可投资者 (Accredited Investors) (定义见新加坡法例《证券及期货法》(Securities and Futures Act 2001)),并且不拟向非认可投资者的新加坡投资者派发,亦不应供任何该等人士传阅。本文件所述的部份产品或交易在新加坡可能未经许可,及不可向新加坡投资者发售。

如本文件由法国巴黎银行在新加坡派发予非认可投资者、非专家投资者 (Expert Investor) 或非机构投资者 (Institutional Investor) 人士,法国巴黎银行(透过其新加坡分行)仅就本文件内容向该人士承担相关法例所规定的法律责任。

泰国:本文件由法国巴黎银行,透过其新加坡分行经法国巴黎银行证劵(泰国)有限公司,仅提供给于泰国境内《Securities and Exchange Act》B.E.2535定义中的超高净值投资者。本文不适用于非超高净值的投资者,亦不应被供任何该等人士传阅。本文件所述的部份产品或交易在泰国可能未经许可,及不可向泰国投资者发售。


请注意,本文件可能与法国巴黎银行作为发行人的产品有关,在此情况下,本文件或本文件所载资料可能由法国巴黎银行作为产品发行人的身份编制(“发行人文件”)。当发行人文件由法国巴黎银行,透过其香港分行,或由法国巴黎银行,透过其新加坡分行,以分销商的身份提供给阁下时,或由法国巴黎银行,透过其新加坡分行经法国巴黎银行证劵(泰国)有限公司提供给阁下时,该发行人文件亦受制于适用于阁下账户的财富管理条款及条件第6.5条 及 / 或境外条款及条件第9条。如发行人文件的条款与适用于阁下账户的财富管理条款及条件第6.5条及 / 或境外条款及条件第9条之间存在任何不一致,概以后者为准。




法国巴黎银行之客户及交易对手有责任确保自身遵守美国第13959号行政命令(EO) (经修订)适用之规定(及后续所有官方指引)。有关该行政命令的全部详情,请阁下参阅以下网页:如需查阅该行政命令全文,请访问,如需了解美国财政部外国资产管理办公室(OFAC)就该行政命令发布之最新指引,请访问


就任何有关本文件或因本文件产生的事宜,阁下可与法国巴黎银行(透过其新加坡分行)(10 Collyer Quay, #35-01 Ocean Financial Centre, Singapore 049315(电话:(65) 6210 3888;传真:(65) 6210 3861))联系。如阁下 (a) 并非新加坡居民,及 (b) 由在香港的客户经理提供服务,则本段落不适用于阁下。如阁下符合 (a) 及 (b) 条件,阁下可就任何有关本文件或因本文件产生的事宜与法国巴黎银行(透过其香港分行)(香港中环金融街8号国际金融中心二期63楼(电话:(852) 2909 8888))联系。

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