Important information
重要訊息

This website is issued in Hong Kong by Foundation Asset Management (HK) Limited (“FAM”) which is regulated by the Securities and Futures Commission, Hong Kong.

You must read the following information for your own protection and benefit. Access to and use of this website is subject exclusively to these Terms and Conditions.  If you do not wish to proceed, please click on “Decline” and this will bring you back to the Home Page.

The information contained herein does not constitute a distribution, an offer or sell or the solicitation of an offer to buy any securities in any jurisdiction in which such distribution or offer is not authorized.  This website is not directed at persons who are residents in any country where the Fund referred herein are not registered or approved for marketing and/or sale, or in which dissemination of information of the Fund is not permitted.  Prospective investors should inform themselves as to applicable legal requirements, exchange control regulations and taxes in the countries of their citizenship, residence or domicile.

The value of investments may go up as well as down and investors may not get back the amount invested. Past performance is not a necessarily indication of future performance.

This website is published for informational purposes and FAM believes that the contents of this website are based on sources of information believed to be reliable but no representation or warranty, express or implied, is given as to its accuracy or completeness.  If you are in any doubt about the contents of this website, you should consult your financial advisor, lawyer, accountant, stockbroker or any other professional advisor.

The Directors, officers and employees of FAM do not accept any responsibility or liability in respect of the information or any recommendations expressed herein which, moreover, are subject to change without notice.

Where the website includes links to third party websites which are controlled and maintained by others, FAM shall not be responsible for and accepts no liability in respect of the content of such websites nor the products, services or other items offered through that site.

本網站屬於邦德資產管理(香港)有限公司(“邦德資產管理”),受香港證券及期貨事務監察委員會規管。

為了保障閣下權益,務請閱讀以下信息。登入及使用本網站須完全受制於這些條款和細則。如果您不希望繼續,請點擊“不接受”,這將帶您回到主頁面。

此處所載信息並不構成分銷,發售或出售或建議購買任何司法管轄區未獲授權的任何證券之邀請。本網站並不是針對任何一個國家的居民而本文中稱為基金的並未在該等地方註冊或未獲准宣傳和/或銷售,或在其中發放有關基金的信息。有意投資人士應自行了解適用的法律規定,外匯管制法規和適用於他們國家有關公民,居民或註冊地的稅務問題。

投資的價值波動可升亦可跌,投資者可能無法取回投資金額。過往的表現並不一定代表將來的表現。

本網站所發布的信息只為提供資訊用途,邦德資產管理相信本網站中的內容,資料來源可靠,但對此等資料並沒有代表性或作出保證,明示或暗示其準確性或完整性。如果您對本網站的內容有任何疑問,應諮詢閣下的財務顧問,律師,會計師,股票經紀或其他專業顧問。

邦德資產管理的董事,主管及職員不需為有關的信息或任何建議承擔責任或法律責任,另外,信息如有變更,恕不另行通知。

網站中包括鏈接到第三方的網站,該等網站受本身機構監管和維持,邦德資產管理對有關該網站的產品、服務或通過該網站提供的其他項目,概不承擔任何責任。

 

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By clicking the "Accept" button, you consent to be bound by all the terms set out herein. If you do not agree with any of these terms, please click the "Decline" button and leave this website.
按「接受」鍵,表示閣下同意受本文所載條款約束,如閣下不同意有關條款,請按「拒絕」鍵,然後離開本網站。