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Since 1 February 1997, commercial trading in securities is governed by the Stock Exchange Act (Swiss Federal Act on Stock Exchanges and Securities Trading of 24 March 1995). The Act requires securities dealers to inform their clients about types of transaction and investments that may involve special risks. This brochure contains information about these risks. |
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| Agreement on the Swiss banks' code of conduct with regard to the exercise of due diligence (CDB 08) |
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