Settlement Instructions for Trades with V-BANK Clients SWIFT BIC Code (T2S PARTY2 BIC11): COBADEFFXXX Commerzbank LEI: 851WYGNLUQLFZBSYGB56

Settlement Instructions for Trades with V-BANK Clients SWIFT BIC Code (T2S PARTY2 BIC11): COBADEFFXXX Commerzbank LEI: 851WYGNLUQLFZBSYGB56

Settlement Instructions for trades with V-BANK clients SWIFT BIC Code (T2S PARTY2 BIC11): COBADEFFXXX Commerzbank LEI: 851WYGNLUQLFZBSYGB56 Market Custodian Australia BNP Paribas Securities Services, Sydney BIC code: PARB AU 2S XXX Account: 2005010001 (Clients account) Austraclear Code: BPSS20 Chess PID: 01892 Austria Erste Group Bank AG, Wien BIC code: GIBA AT WG XXX Account: 403-341-617/02 (Clients account) SAC to Party 1 REAG / DEAG: OCSD227300 OEKB Account OCSD227300 PSET: OCSDATWWXXX Belgium BNP Paribas Securities Services, Paris Mutual Funds: BIC code: PARB FR PP XXX kindly coordinate deliveries with us - Instruments settling via Euroclear Belgium: Account 68042N (Clients account), PSET: CIKBBEBBXXX - Instruments settling via National Bank of Belgium: Account 68042N (Clients account), PSET:NBBEBEBB216 Canada RBC Investor Services, Toronto Mutual Funds: BIC code: ROYC CA T2 XXX kindly coordinate CUID RBCT deliveries with us Account: 120025740001 (Clients account) Czech Citibank Europe plc, Prague Branch Republic BIC code: CITI CZ PX XXX Account: 1090023187 (Clients account) Denmark Skandinaviska Enskilda Banken, Copenhagen BIC code: ESSE DK KK XXX VPID: 05295 Account: 05295147123 (Clients account) PSET: VPDKDKKKXXX Finland Skandinaviska Enskilda Banken, Helsinki BIC code: ESSE FI HX XXX Account: 10-100 130 438 (Clients account) France BNP Paribas Securities Services, Paris BIC code: PARB FR PP XXX Account: 68041M (Clients account) PSET: SICVFRPPXXX Germany Commerzbank AG, Frankfurt as self clearer Clearstream Banking AG BIC code: COBA DE FF XXX Frankfurt – International SAC to Party 1 REAG / DEAG: Please see details under DAKV7004000 International Account: 7004 PSET: DAKVDEFFXXX For all securities traded on the official or regular market and held under collective safecustody Greece Citibank Europe plc, Greece Branch Account 995461 SAT a/c 0561602658-9 SAT code 0007029839-9 Operator code: 505 BIC code: CITI GR AA XXX Registration name: “Commerzbank AG Frankfurt Clients Account” PSET/CSD BIC Equities: HCSDGRAAXXX PSET/CSD BIC Bonds: BNGRGRAASSS Hong Kong BNP Paribas Securities Services, Hong Kong BIC code: PARB HK HH XXX Account: 3003190002 (Clients account) CCASS Participant Code: C00093 Hungary UniCredit Bank Hungary Zrt., Budapest BIC code: BACX HU HB XXX Account: 7010888001 (Clients account) KELER (CSD) number 0318 PSET: KELRHUHBXXX Indonesia Hongkong & Shanghai Banking Government Bonds: Corporation, Jakarta currently not supported BIC Code: HSBC ID JA XXX account: 001-800598-085 International Clearstream Banking AG Frankfurt – International BIC code: CEDE LU LL XXX Account: 67004 - For all securities traded on the Unlisted Securities Market (Freiverkehr) of German stock exchanges (safekeeping of securities abroad) and - For all Euro-Bonds (with the exception of EURO denominated bonds eligible for collective safecustody in Germany) Account 60892 for Italian bonds „Tax Exempt“ only Ireland Equities & corporate bonds: Irish Gilts: Citibank N.A., London Euroclear account 92490 BIC code:CITI GB 2L XXX (using daylight settlement Account. 6400001378 (state absolutely) flag) Crest-ID: BA01F Italy Intesa Sanpaolo S.p.A., Milano Tax exempt clients: BIC code: BCIT IT MM XXX kindly coordinate Account: 9630340211 (Clients account) deliveries with us PSET/CSD BIC: MOTIITMMXXX Japan Equities: Fixed Income: currently Mizuho Bank Ltd, Tokyo not supported BIC code: MHCB JP J2 XXX Account: 21066800 (Clients account) Malaysia Equities: Fixed Income: currently HSBC Bank (Malaysia) Berhad not supported BIC Code: HBMB MY KL XXX account: 318-278108-085 CDS account number: 206 001 049492184 Netherlands BNP Paribas Securities Services, Paris BIC code: PARB FR PP XXX Account: 49849C (Clients account) PSET: NECINL2AXXX New Zealand BNP Paribas Securities Services, Sydney BIC code: PARB AU 2S LCC Account: 2005015001 (Clients account) Mnemonic:BPSS41 Norway Skandinaviska Enskilda Banken, Oslo BIC code: ESSE NO KX XXX Account: 097500162280 (Clients account) Poland mBank S.A., Warsaw BIC Code: BREX PL PW CUS Account: 02102412001 (Clients account) Portugal Equities: Fixed Income: BNP Paribas Securities Services, Paris Clearstream Banking AG BIC code: PARB FR PP XXX Frankfurt – International Account: 442521L (Clients account) BIC code: CEDE LU LL PSET: IBLSPTPPXXX Account: 67004 Singapore Hongkong & Shanghai Banking Government Bonds: Corporation, Singapore currently not supported BIC code:HSBC SG XXX CDP Depository Agent code 590 Account: 141.191890-085 (Clients account) South Africa Firstrand Bank, Johannesburg BIC code FIRN ZA JJ XXX account ZA0000055696 Clients acc. STRATE Account: 20001513 (Equities) UNEXCOR Code: LDS954 (Bonds) Spain BNP Paribas Securities Services, Madrid BIC code: PARB ES MX XXX Account: 33572 (Clients account) SAC to Party 1 DEAG/REAG: IBRCPARBESMXXXX000000002T0EX0000 001 PSET: IBRCESMMXXX We only accept securities registered in the name of Commerzbank AG Sweden Skandinaviska Enskilda Banken, Stockholm BIC code: ESSE SE SS XXX Account: 01-001 240 499 (Clients account) Switzerland UBS Switzerland AG, Zuerich BIC code: UBSW CH ZH 80A Account: 02300000023031S5 SEGA BP ID CH100025 PSET/CSD BIC: INSECHZZXXX Thailand Equities & warrants: The Hongkong and Shanghai Banking Corp., Bangkok BIC Code:HSBC TH BK XXX Account: 001-092030-391 (NRBS) TSD Participant Code: BK1014 UK Equities & corporate bonds UK Treasuries Citibank N.A., London Citibank N.A., London BIC code:CITI GB 2L XXX BIC code:CITI GB 2L XXX Account. 6998539286 (state absolutely) Account. 6998539286 Crest-ID: BA01F (state absolutely) Crest-ID: 5612 USA DTCC settlements: US-Treasuries: Citibank N.A., New York Citibank N.A., New York DTC ID #0908 CITIBANK NYC/CUST Agent ID: 27603 ABA# 021000089 Institution ID: 29424 (Generic) Account – 212830 Account – 212830 Commerzbank AG - Clients Account Commerzbank AG – Clients Account Mutual Funds: kindly coordinate deliveries with us Physical Securities: Over the window: Citibank N.A., New York DTC ID # 0908; DTC NY Window 55 Water Street, 3rd Floor New York, N.Y. 10041 Through the mail/ courier Citibank NA - Attn: Keith Whyte 399 Park Ave, Level B Vault New York, NY 10022 Always quote: Account: 212830 Commerzbank AG Clients account .

View Full Text

Details

  • File Type
    pdf
  • Upload Time
    -
  • Content Languages
    English
  • Upload User
    Anonymous/Not logged-in
  • File Pages
    5 Page
  • File Size
    -

Download

Channel Download Status
Express Download Enable

Copyright

We respect the copyrights and intellectual property rights of all users. All uploaded documents are either original works of the uploader or authorized works of the rightful owners.

  • Not to be reproduced or distributed without explicit permission.
  • Not used for commercial purposes outside of approved use cases.
  • Not used to infringe on the rights of the original creators.
  • If you believe any content infringes your copyright, please contact us immediately.

Support

For help with questions, suggestions, or problems, please contact us