- This document sets forth the measures we take to obtain the best possible conditions when executing orders and receiving or transmitting orders on behalf of our clients.
Best Execution Policy (289.2 kB)
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This brochure by the Swiss Bankers Association lays out the risks inherent in securities trading and which activities pose particular risks.
- This document explains our policy for handling conflicts of interest.
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This document explains the options for indirect participants (generally banks) to hold securities in either a collective account for indirect participants or individual client accounts.
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This document clarifies the nature of the relationship between BCV, its clients and other market participants with regard to over-the-counter transactions involving foreign exchange and precious metals.
- This document provides information about what SRD II means for BCV clients who hold listed European stocks.
EU Shareholder Rights Directive II (118.1 kB)